FCT_BNK_DV_FLOW_OF_FUNDS_SSS_DEP_INSIGHT

Database

INSNZP05_BANK

Schema

BANKPADM

Type

TABLE

Description

Monthly Cost Centre Summary of OBP Term Deposit amount flows with business segments and margins for Disbursements, Payouts, Repayments Interest Cash Back Interal and external refinance growth runoff a

Columns
# Name Data Type Length
1 PERIOD_DIM_ID INTEGER 4
2 TIME_PERIOD DATE 4
3 CATEGORY CHARACTER VARYING(256) 256
4 FLOW CHARACTER VARYING(256) 256
5 PRODUCT_GROUP_CODE CHARACTER VARYING(30) 30
6 SOURCE_PRODUCT_L2 CHARACTER VARYING(100) 100
7 SOURCE_PRODUCT_L3_DESC CHARACTER VARYING(100) 100
8 SOURCE_PRODUCT_L4_DESC CHARACTER VARYING(100) 100
9 OFFER_DESC CHARACTER VARYING(120) 120
10 COST_CENTRE_NAME CHARACTER VARYING(240) 240
11 GEOGRAPHIC_STATE CHARACTER VARYING(3) 3
12 REGION CHARACTER VARYING(240) 240
13 CHANNEL CHARACTER VARYING(50) 50
14 MEASURE DOUBLE PRECISION 8
15 TRANSFER_IN DOUBLE PRECISION 8
16 TRANSFER_OUT DOUBLE PRECISION 8
17 FEES DOUBLE PRECISION 8
18 DEPOSIT DOUBLE PRECISION 8
19 WITHDRAWAL DOUBLE PRECISION 8
20 INTEREST DOUBLE PRECISION 8
21 NET_TRANSFER DOUBLE PRECISION 8
22 INFLOW DOUBLE PRECISION 8
23 OUTFLOW DOUBLE PRECISION 8
24 OPENING_BALANCE DOUBLE PRECISION 8
25 CLOSING_BALANCE DOUBLE PRECISION 8
26 MOVEMENT DOUBLE PRECISION 8