Custom Object Descriptions
If you decide not to use the standard profiles you might find the following descriptions useful when deciding which permissions to grant.
Key: * – Redundant or deprecated in this release; BR – Users need access to commit bank reconciliations; CR – Users need access to perform CRVs
Custom Object | Master Object | Description | |
---|---|---|---|
Account In Use | * | Redundant or deprecated. | |
Accounting Background Worker | For internal use. The batch control object for the Batch Apex Framework. It has its own tab because it contains a useful progress bar. | ||
Accounting Book | Used by the multi-book accounting feature to store accounting books. | ||
Accounting Currency | Stores the details of an accounting currency such as its ISO code. | ||
Account Health Measurement Batch | For internal use. Stores the status and details of Account Health Measurement batch Apex jobs. | ||
Account Health Measurement Logs | Account Health Measurement Batch | For internal use. Stores the results of each Account Health Measurement batch iteration. | |
Aged Analysis Definition | Defines the presentation of a specific type of aged analysis report. | ||
Allocation | Stores information about an allocation. | ||
Allocation Filter | Allocation Filter Structure | Stores the queries for selecting and filtering allocation data for the allocation template. | |
Allocation Filter Structure | Allocation Template | Defines the allocation filter structure for the template. | |
Allocation Log | Allocation | Stores logs created by the allocation process. | |
Allocation Rule |
Stores distribution criteria for allocations. | ||
Allocation Schedule | Stores the information entered on the Create Schedule page. | ||
Allocation Schedule Company | Links the allocation schedule to one or more companies. | ||
Allocation Schedule Log | Allocation Schedule | Stores the results of a scheduled run. | |
Allocation Schedule Run | Provides a link between allocation schedule logs and run details. | ||
Allocation Schedule Run Result |
Allocation Schedule Run | Links allocation transactions and allocation journals to run details. | |
Allocation Schedule Template | Allocation Template, Allocation Schedule | Links the allocation schedule to one or more allocation templates. | |
Allocation Split Template | Allocation Template | Stores the split percentage information for the template. | |
Allocation Template | Stores the allocation template information. | ||
Allocation Transaction Log | Transaction | Stores the results of the reverse allocation transaction process. | |
As of Aging | Stores As of Aging values on transaction line items owned by current company. | ||
As of Aging Process Log | As of Aging | Stores record of batch apex jobs run during As of Aging process. | |
Audit File Log | Stores the log details from the file generation. | ||
Bank Account | BR | Stores master details on company bank accounts. | |
Bank Reconciliation | BR | Stores the master details of a bank reconciliation. | |
Bank Reconciliation Charge | BR | Bank Reconciliation | Stores bank charge line item details on a bank reconciliation. |
Bank Reconciliation Line Item | BR | Bank Reconciliation | Stores bank reconciliation line item details. |
Bank Statement | BR | Stores imported bank statement master details. | |
Bank Statement Definition | Stores the details of a bank statement definition. | ||
Bank Statement Line Item | BR | Bank Statement | Stores the line item details of an imported bank statement. |
Batch Lock | Stores batch information to avoid running in parallel more than one batch process for the same records | ||
Batch Lock Detail | Batch Lock | Stores record information to avoid running in parallel more than one batch process for the same records. | |
Batch Process | For internal use. Used in batch job processing. | ||
Batch Process Detail | Batch Process | For internal use. | |
Budget and Balance | Stores the details of budget and balance records that enable you to track the variance of actual period balances against budget. | ||
Cancel Payment Control | For internal use. Used during Cancel Payment batch processes. | ||
Cancel Payment Criteria | Payment Summary | Stores the criteria entered on the Cancel Payments Criteria page, including the reason for the cancellation. | |
Cancel Payment Log | Cancel Payment Control | For internal use. Used during Cancel Payment batch processes. | |
Cash Entry | Stores the master details of cash and checks received from, or refunds given to, customers. | ||
Cash Entry Line Item | Cash Entry | Stores the line items on cash entry. | |
Cash Matching History | CR | Records the activities that take place during the payment, discounting or writing-off of a payable transaction line. | |
Chart of Accounts Mapping | Stores mappings between corporate GLAs and local GLAs. | ||
Chart of Accounts Mapping History | Stores mapping history. | ||
Chart of Accounts Structure | Defines the chart of accounts structures available in your organization. | ||
Check Number | Check Range | Records the details and status of numbered checks in the associated check range. | |
Check Range | Bank Account | Defines a range of valid check numbers for the associated bank account. | |
Column Property | Stores a part of the formats saved from FinancialForce Print Formatter. | ||
Common Name | Stores names used by FinancialForce metadata. | ||
Company | Stores the FinancialForce company details. | ||
Company Ownership | Company | Stores information about a company's ownership structure. | |
Currency Revaluation | CR | Stores the master details related to a CRV. | |
Currency Revaluation Batch | CR | Processes CRV documents into batches. | |
Currency Revaluation Batch Line Item | CR | Currency Revaluation Batch | Processes CRV line items into batches. |
Currency Revaluation GLA Item | Currency Revaluation, General Ledger Account | The GLA list for a CRV. | |
Currency Revaluation Group | Groups CRVs to be processed as a batch. | ||
Currency Revaluation Line Item | CR | Currency Revaluation Summary | CRV line detail at second level. |
Currency Revaluation Summary | CR | Currency Revaluation | CRV line detail at first level. |
Currency Revaluation Template | CR | Stores CRV template information. | |
Currency Revaluation Template Line Item | CR | Currency Revaluation Template | Stores CRV template information. |
Custom Form Assignment | For internal use. Determines which Custom Form to display for a given accounting document and company. | ||
CustomForm Layout | For internal use. Stores Custom Form Layout information. | ||
CustomForm Layout Field | CustomForm Layout Section | For internal use. Stores Custom Form Layout Field information. | |
CustomForm Layout Related List | For internal use. Stores details of the related lists on a custom input form. | ||
CustomForm Layout Related List Field | CustomForm Layout Related List | For internal use. Stores details of a field in a related list on a custom input form. | |
CustomForm Layout Section | For internal use. Stores Custom Form Layout Section information. | ||
Data Property | Stores a part of the formats saved from FinancialForce Print Formatter. | ||
Dimension 1–4 | Used to sub-analyze postings and can be used to represent a number of different business concepts. | ||
Event Log | Records when an invoice or credit note was printed or sent by email, and who printed/sent it. | ||
Exchange Rate | Accounting Currency | Stores exchange rates expressed in terms of home currency. A company has a rate table for each currency that it uses. | |
Field | Selection Definition | Stores a part of the formats saved from FinancialForce Print Formatter. | |
Finance Correspondence | Relates to the section on Account that contains the contact and the email address where mass emails will be sent. | ||
Fixed Allocation Rule Line | Allocation Rule | Stores a line on a fixed allocation rule. | |
Format Data | Stores a part of the formats saved from FinancialForce Print Formatter. | ||
General Ledger Account | General ledger account represent different categories of income/expenses/assets/liabilities and reserves. | ||
Grouping Reference | Internal object that provides new references for various processes within the application. | ||
Income Schedule Definition | Predefined templates that can be used as the basis for an income schedule on a sales invoice. | ||
Income Schedule Line Item | Sales Invoice | The schedule line items on a sales invoice. | |
Integration Rule | Defines a first-generation integration rule at header level. | ||
Integration Rule Line Item | Integration Rule | Defines a first-generation integration rule at line item (detail) level. | |
Intercompany Definition | Defines the intercompany control accounts that you want to use when generating and posting intercompany journals. | ||
Intercompany Transfer | An intermediate staging object used during the intercompany journal process. | ||
Intercompany Transfer Line Item | Intercompany Transfer | Intercompany transfer detail records. | |
Intersect Definition | Defines the way balances are stored. | ||
Item | Stores a part of the formats saved from FinancialForce Print Formatter. | ||
Journal | Acts as a container for a number of journal lines and provides common information about the document. | ||
Journal Line Item | Journal | Stores the details of the journal lines. | |
Lookup | An internal object with no records. All FinancialForce Accounting users must have full access. | ||
Mapping Format | Mappings used for document input using . | ||
Mass Email Account | Temporary storage for grouping information by account, so only one email per account is sent. | ||
Mass Email Account Line Item | Mass Email Account | Stores the details of the Mass Email grouping information by account described above. | |
Matching Reference | An internal object that provides an automatically incrementing number for the cash matching and undo matching reference. | ||
Page Num Property | Stores a part of the formats saved from FinancialForce Print Formatter. | ||
Payable Credit Note | Holds information that applies to the whole payable credit note such as vendor account and payable credit note date. | ||
Payable Credit Note Expense Line Item | Payable Credit Note | The expense line items on the payable credit note. | |
Payable Credit Note Line Item | Payable Credit Note | The line items on the payable credit note, such as product, unit price, quantity and line total. | |
Payable Invoice | Holds information that applies to the whole payable invoice such as vendor information and due date. | ||
Payable Invoice Expense Line Item | Payable Invoice | The expenses line items on the payable invoice. | |
Payable Invoice Line Item | Payable Invoice | The line items on the payable invoice, such as product, unit price, quantity and line total. | |
Payment | Stores header details for a payment proposal. | ||
Payment Batch | Payment | Holds information about different batches generated as part of a payment process. | |
Payment Batch Line Item | Payment Batch | The line items of the payment batches generated as part of a payment process (holds information about transaction line items being paid). | |
Payment Detail | Payment, Payment Summary | Transaction lines selected for each payment. | |
Payment Details Template | Stores template details from the Payments Plus process. | ||
Payment Log (previously called Payments Plus Error Log) |
Payment | Stores error logs from the Payments Plus process. | |
Payment Media Control | Holds information for payment transmission, including payment values, company, and company bank account details. | ||
Payment Media Detail | Payment Media Summary | Holds information for payment transmission, including transaction and transaction line information. | |
Payment Media Summary | Holds information for payment transmission, including payment values summarized by account and the corresponding bank account details. | ||
Payment Summary | Payment | Summary of account values for payment. | |
Payment Template | Defines a template for a new payment proposal. | ||
Payment Template Line Item | Payment Template | Defines a template for a new payment proposal. | |
Period | Year | Defines the accounting periods into which a financial year is divided. | |
Prepaid Expense Schedule Definition | Predefined templates that can be used as a basis for a prepaid expenses schedule. | ||
Print Format | Stores a part of the formats saved from FinancialForce Print Formatter. | ||
Product In Use | * | Redundant or deprecated. | |
Reconciliation Filter Structure | Transaction Reconciliation | Stores the filters defined for a transaction reconciliation. | |
Reconciliation Line Item | Transaction Reconciliation | Stores transaction reconciliation line item details. | |
Record Lock | Record Lock Group | An internal object that provides the ability to lock records. | |
Record Lock Group | An internal object that provides the ability to lock groups of records. | ||
Reporting Balance | Stores an extract of the Budget and Balance object specifically created for use by the FinancialForce Reporting application. | ||
Sales Credit Note | Holds information that applies to the whole credit note such as customer account and credit note date. | ||
Sales Credit Note Line Item | Sales Credit Note | The line items on the credit note, such as product, unit price, quantity and line total. | |
Sales Invoice | The line items on the credit note, such as product, unit price, quantity and line total. | ||
Sales Invoice Installment Line Item | Sales Invoice | Installments of the payment schedule defined for the invoice. | |
Sales Invoice Line Item | The line items on the invoice, such as product, unit price, quantity and line total. | ||
Scheduler Configuration | The underlying object used to configure the Scheduler with information such as a job's start and end dates or on which days to run a job. | ||
SDA Private Key | Custom metadata used to store the SDA private key. | ||
Section | Stores a part of the formats saved from FinancialForce Print Formatter. | ||
Selection Criterion | Selection Definition | Stores the conditions for the selection definitions. | |
Selection Definition | Stores the queries for selecting and filtering data (used in Mass Email, and Print Formatter) | ||
Single Mapping | Mapping Format | Stores a mapping created in XL. | |
Sort Order | Print Format | Stores the sort order used by a selection definition in FinancialForce Print Formatter. | |
Statistical Basis | Stores the header of values for a statistical basis. | ||
Statistical Basis Filter | Stores the statistical basis filters used for a statistical allocation rule and for a statistical allocation template. | ||
Statistical Basis Line Item | Statistical Basis | Stores the values of a statistical basis. | |
Statistical Basis Line Item Version | Statistical Basis | Stores versions of statistical basis line item records. | |
Statistical Basis Version | Statistical Basis | Stores versions of statistical basis records. | |
Table Property | Stores a part of the formats saved from FinancialForce Print Formatter. | ||
Tax Code | Stores details on tax codes. | ||
Tax Detail Payable Credit Note | Payable Credit Note Line Item | Stores tax details at line level for tax calculations from Avalara. | |
Tax Detail Payable Credit Note Expense | Payable Credit Note Expense Line Item | Stores tax details at line level for tax calculations from Avalara. | |
Tax Detail Payable Invoice | Payable Invoice Line Item | Stores tax details at line level for tax calculations from Avalara. | |
Tax Detail Payable Invoice Expense | Payable Invoice Expense Line Item | Stores tax details at line level for tax calculations from Avalara. | |
Tax Detail Sales Credit Note | Sales Credit Note Line Item | Stores tax details at line level for tax calculations from Avalara. | |
Tax Detail Sales Invoice | Sales Invoice Line Item | Stores tax details at line level for tax calculations from Avalara. | |
Tax Rate | Tax Code | Stores details on tax rates. | |
Text Definition | Stores predefined, reusable snippets of text that can be included on a sales invoice or credit note. | ||
Transaction | Holds header information about a transaction. | ||
Transaction Line Item | Transaction | The line items on a transaction. | |
Transaction Reconciliation | Stores transaction reconciliation header details. | ||
Transaction Reconciliation Filter | Reconciliation Filter Structure | Stores a filter used by transaction reconciliation. | |
Transaction Reconciliation History | Stores a history of when a transaction line item is reconciled and unreconciled. | ||
Transaction Reconciliation Log | Stores error logs from the Transaction Reconciliation process. | ||
User Company | Each user company record grants an individual user access to a single company. | ||
Worker Item | For internal use. Stores the different work actions that the worker batch process needs to run. Internal use only. | ||
Worker Log | Worker Log Group | For internal use. Stores the errors that occurred during the worker batch process and a link to the related document. | |
Worker Log Group | Accounting Background Worker | For internal use. Stores the users that created the worker item records to sent them an email at the end of the batch process. | |
Year | Defines a financial year. | ||
Year End Log | Year | Stores information and errors during the year end process. |