Components installed with Finance Common Architecture
Several types of components are installed with the installation of the Finance Common Architecture application, including tables and user roles.
Roles installed
| Role title [name] | Description | Contains roles |
|---|---|---|
| Finance admin [sn_fin.finance_admin] |
Generate fiscal and accounting periods. | sn_fin.finance_user |
| Finance user [sn_fin.finance_user] |
View and edit accounting and fiscal periods. | None |
Tables installed
| Table | Description |
|---|---|
| Account Access [sn_fin_gl_access] |
Defines the access control for general ledger (GL) accounts, specifying who can view or modify particular GL records. |
| Account Access Rule [sn_fin_gl_access_rule] |
Defines rules that govern access control to the general ledger, ensuring proper segregation of duties and user permissions. |
| Account Group Mapping [sn_fin_gl_group_mapping] |
Maps general ledger accounts to specific groups for reporting purposes, ensuring proper categorization and alignment with business functions. |
| Accounting Periods [sn_fin_accounting_period] |
Defines accounting periods for financial reporting, such as fiscal year, quarters, and months. |
| Balance [sn_fin_balance] |
Tracks balances for different financial entities, which could include balances for accounts, departments, or cost centers. |
| Base Invoice [sn_fin_base_invoice] |
Stores high-level details about invoices, such as invoice number, date, supplier, customer, and total amount. |
| Base Tax Line [sn_fin_base_tax_line] |
Contains detailed tax line items associated with invoices, including tax rates, tax amounts, and tax classifications. |
| Currency Conversion Setting [sn_fin_gl_currency_setting] |
Contains settings and preferences for handling multiple currencies in the general ledger, including conversion rates and currency codes. |
| Due Date Rule [sn_fin_gl_due_rule] |
Defines rules for determining when accounts payable or receivable amounts are due, including due dates, grace periods, and interest rates. |
| ERP Source [sn_fin_erp_source] |
Maps and stores information regarding source systems from which financial data is imported or integrated into the financial system. |
| ERP source mapping [sn_fin_erp_source_mapping] |
Maps external ERP system data to the internal financial schema, facilitating data integration and synchronization. |
| Excel Data Import [sn_fin_excel_data_import] |
Supports the asynchronous excel data import for a journal entry. |
| Period [sn_fin_period] |
Maps external ERP system data to the internal financial schema, facilitating data integration and synchronization. |
| Finance Exchange Rates [sn_fin_fx_rate] |
Maintains foreign exchange rates used for currency conversions in financial transactions, tracking historical and current rates. |
| Fixed Asset [sn_fin_fixed_asset] |
Stores information about fixed assets owned by the organization, including asset type, value, depreciation, and location. |
| Fixed Asset to Asset [sn_fin_m2m_fixed_asset] |
Represents a many-to-many relationship between fixed assets and various attributes, such as locations, departments, or asset classifications. |
| GL Rule [sn_fin_gl_rule] |
Defines rules and policies for general ledger account management, including rules for automated journal entries and account mappings. |
| GL Support [sn_fin_gl_support] |
Provides supporting data for general ledger accounts, such as supplementary details or documents linked to specific transactions. |
| Import Error [sn_fin_import_error] |
Tracks errors encountered during the import process, typically for financial data, to aid in troubleshooting and data validation. |
| Industry [sn_fin_industry] |
Holds industry classifications or categories relevant to the suppliers, customers, or financial entities in the system. |
| Ledger [sn_fin_ledger] |
The main table for storing general ledger (GL) entries, summarizing financial transactions by account, period, and other dimensions. |
| Ledger Account [sn_fin_gl_account] |
Stores balances for subledgers, such as accounts payable or receivable, tracking amounts owed or due by customers and suppliers. |
| Ledger Account Group [sn_fin_gl_group] |
Organizes general ledger accounts into groups for reporting and analysis purposes, such as by department or business segment. |
| Ledger Balance [sn_fin_gl_balance] |
Holds the balance of general ledger accounts, tracking current balances, debits, credits, and running totals. |
| Legal Entity [sn_fin_legal_entity] |
Contains information about legal entities within the organization, such as corporations or limited liability companies, along with their legal statuses. |
| Office Location [sn_fin_office_location] |
Contains information about office locations, including address, contact details, and organizational unit associated with each location. |
| Organization [sn_fin_organization] |
Contains details about the organizations within the financial system, including business units, departments, and organizational hierarchies. |
| Organization Tax Details [sn_fin_org_tax_detail] |
Contains tax-related information for different organizations, including tax registration numbers, rates, and jurisdictions. |
| Purchasing Entity [sn_fin_purchasing_entity] |
Stores information about entities involved in purchasing transactions, such as divisions or business units within an organization. |
| Properties [sn_fin_properties] |
Stores various configuration properties related to financial data management, such as thresholds, settings, or flags used throughout the system. |
| Profit Center [sn_fin_profit_center] |
Defines profit centers within the organization, enabling financial reporting and analysis by business units or operational segments. |
| Signer [sn_fin_signer] |
Stores information about individuals or entities authorized to sign financial documents or approve transactions. |
| Supplier [sn_fin_supplier] |
Contains details about suppliers, including name, address, contact information, and payment terms |
| Supplier Legal Entity Mapping [sn_fin_supplier_detail] |
Contains more detailed information about individual suppliers, including banking details, payment methods, and credit terms. |
| Supplier Payment Information [sn_fin_supplier_payment] |
Stores records of payments made to suppliers, including payment dates, amounts, and methods of payment. |
| Subledger Balance [sn_fin_subledger_balance] |
Maps general ledger accounts to specific groups for reporting purposes, ensuring proper categorization and alignment with business functions. |
| Tax Code [sn_fin_tax_code] |
Stores various tax codes used for transactions, including sales tax, VAT, and other region-specific tax codes. |
| Tax Type [sn_fin_tax_type] |
Contains different tax types used in financial transactions, such as VAT, sales tax, and withholding tax, along with their applicable rules. |
| Threshold Rule [sn_fin_gl_threshold_rule] |
Defines rules for thresholds in the general ledger, such as limits for certain accounts, to ensure compliance with financial policies. |
| Unit of measure [sn_fin_uom] |
Manages the unit of measurement (UOM) standards used across financial transactions, including different types like kilograms, liters, and hours. |