QRM_CDF_MASTER
Description
Synonyms
SDSNZP02_BANK..BNKNIC_QRM_CDF_MASTER
Columns
| # | Name | Data Type | Length |
|---|---|---|---|
| 1 | ACCOUNT_DIMENSION | CHARACTER VARYING(100) | 100 |
| 2 | ACCOUNT_OFFICER | CHARACTER VARYING(6) | 6 |
| 3 | ACCREDITED_BROKER_CODE | CHARACTER VARYING(7) | 7 |
| 4 | ACCRUED_INT | NUMERIC(14,2) | 19 |
| 5 | ACCRUED_INT_LIQ | NUMERIC(8,4) | 19 |
| 6 | ACCT_STATUS | CHARACTER VARYING(20) | 20 |
| 7 | ALLOCATED_CASH_COL_VALUE | NUMERIC(14,2) | 19 |
| 8 | AMRT_TERM | NUMERIC(5,0) | 19 |
| 9 | AMRT_TERM_MULT | CHARACTER VARYING(1) | 1 |
| 10 | AMRT_TYPE_CD | CHARACTER VARYING(30) | 30 |
| 11 | APRA_ASSET_CLASS | CHARACTER VARYING(100) | 100 |
| 12 | ARF_117 | CHARACTER VARYING(40) | 40 |
| 13 | AVG_PAR_BAL | NUMERIC(19,4) | 19 |
| 14 | BASIS | CHARACTER VARYING(16) | 16 |
| 15 | BASIS_FLOATING | CHARACTER VARYING(16) | 16 |
| 16 | BASIS_SWAP_PAY_MARGIN | NUMERIC(8,4) | 19 |
| 17 | BASIS_SWAP_REC_MARGIN | NUMERIC(8,4) | 19 |
| 18 | BORROWER_ID | NUMERIC(20,0) | 19 |
| 19 | BRANCH_NUMBER | CHARACTER VARYING(28) | 28 |
| 20 | BREAK_DATE | CHARACTER VARYING(30) | 30 |
| 21 | BROKER_CODE | CHARACTER VARYING(5) | 5 |
| 22 | BROKER_ORIGINATED | CHARACTER VARYING(1) | 1 |
| 23 | CALC_ADVANCE_AMT | NUMERIC(9,2) | 19 |
| 24 | CAP_ADJ_AMOUNT | NUMERIC(14,2) | 19 |
| 25 | CAP_ADJ_RATE | NUMERIC(8,4) | 19 |
| 26 | CAP_AMOUNT | NUMERIC(14,2) | 19 |
| 27 | VARCHARGE_OFF_INTEREST | NUMERIC(13,2) | 19 |
| 28 | VARCHARGE_OFF_PRINCIPAL | NUMERIC(15,2) | 19 |
| 29 | CMNE | CHARACTER VARYING(10) | 10 |
| 30 | COMPOUND_BASIS_CD | NUMERIC(5,0) | 19 |
| 31 | COMPOUNDING_FREQUENCY | CHARACTER VARYING(30) | 30 |
| 32 | COMPOUNDING_FREQUENCY_FLOATING | CHARACTER VARYING(30) | 30 |
| 33 | COUPON | NUMERIC(10,6) | 19 |
| 34 | CUR_NET_RATE | NUMERIC(10,4) | 19 |
| 35 | CUR_PAYMENT | NUMERIC(20,4) | 19 |
| 36 | CUSTOMER_NAME | CHARACTER VARYING(150) | 150 |
| 37 | DAYS_TO_MATURITY | NUMERIC(5,0) | 19 |
| 38 | DEAL_DATE | CHARACTER VARYING(30) | 30 |
| 39 | DEAL_NO | NUMERIC(25,0) | 19 |
| 40 | DEPOSIT_OFFSET_ACCOUNT | NUMERIC(25,0) | 19 |
| 41 | DEPOSIT_OFFSET_AVG_BAL | NUMERIC(19,4) | 19 |
| 42 | DEPOSIT_OFFSET_BALANCE | NUMERIC(19,4) | 19 |
| 43 | DEPOSIT_OFFSET_RATE | NUMERIC(9,5) | 19 |
| 44 | DEPT_ID | CHARACTER VARYING(10) | 10 |
| 45 | DLNQSTATID | NUMERIC(14,2) | 19 |
| 46 | ELIGIBLE_SECURITY | CHARACTER VARYING(25) | 25 |
| 47 | EXT_RATING_LT | CHARACTER VARYING(2) | 2 |
| 48 | EXT_RATING_ST | CHARACTER VARYING(2) | 2 |
| 49 | FACE_AMT | NUMERIC(19,4) | 19 |
| 50 | FACE_VALUE | NUMERIC(19,4) | 19 |
| 51 | FIRST_DAY_MONTH | CHARACTER VARYING(30) | 30 |
| 52 | FIXCOUPSWP_PYMT | NUMERIC(19,4) | 19 |
| 53 | FIXCOUPSWP_RATE | NUMERIC(19,4) | 19 |
| 54 | FIXED_RATE | NUMERIC(8,4) | 19 |
| 55 | FLT_RATE | NUMERIC(8,4) | 19 |
| 56 | GL_ACCOUNT_ID | CHARACTER VARYING(60) | 60 |
| 57 | GRF | NUMERIC(8,4) | 19 |
| 58 | HTM_FLAG | CHARACTER VARYING(1) | 1 |
| 59 | ID_NUMBER | CHARACTER VARYING(100) | 100 |
| 60 | ID_NUMBER_PKEY | NUMERIC(25,0) | 19 |
| 61 | INBA | DOUBLE PRECISION | 8 |
| 62 | INDUSTRY_TYPE | CHARACTER VARYING(140) | 140 |
| 63 | INSTRUMENT_TYPE_CD | NUMERIC(5,0) | 19 |
| 64 | INT_RATE_ADD_ON | NUMERIC(15,4) | 19 |
| 65 | INT_RATE_BASE | NUMERIC(15,4) | 19 |
| 66 | INT_RATE_CUR | NUMERIC(14,4) | 19 |
| 67 | INT_RATE_MARGIN | NUMERIC(15,4) | 19 |
| 68 | INT_RATE_PENALTY_MARGIN | NUMERIC(8,3) | 19 |
| 69 | INTEREST_CODE | CHARACTER VARYING(2) | 2 |
| 70 | INTEREST_RATE_CLASSIFICATION | CHARACTER VARYING(3) | 3 |
| 71 | ISSUE_DATE | TIMESTAMP | 8 |
| 72 | ISSUE_DATE_RAW | TIMESTAMP | 8 |
| 73 | ISSUE_TERM | NUMERIC(5,0) | 19 |
| 74 | ISSUE_TERM_MULT | CHARACTER VARYING(1) | 1 |
| 75 | ISSUER_CMNE | CHARACTER VARYING(100) | 100 |
| 76 | LAST_REPRICE_DATE | TIMESTAMP | 8 |
| 77 | LAST_REPRICE_DATE_FLOATING | CHARACTER VARYING(30) | 30 |
| 78 | LAST_REPRICE_DATE_RAW | CHARACTER VARYING(30) | 30 |
| 79 | LCR_REPORTING_DIMENSION | CHARACTER VARYING(200) | 200 |
| 80 | LIQUIDITY_APRA_RATING | CHARACTER VARYING(60) | 60 |
| 81 | LIQUIDITY_CUSTOMER_TYPE | CHARACTER VARYING(50) | 50 |
| 82 | LIQUIDITY_DIMENSION | CHARACTER VARYING(50) | 50 |
| 83 | LIQUIDITY_ESTABLISHED | CHARACTER VARYING(50) | 50 |
| 84 | LIQUIDITY_FCS_COVERAGE | DOUBLE PRECISION | 8 |
| 85 | LIQUIDITY_FCS_RUNOFF | CHARACTER VARYING(50) | 50 |
| 86 | LIQUIDITY_RUNOFF | CHARACTER VARYING(50) | 50 |
| 87 | LOAN_PURP | CHARACTER VARYING(10) | 10 |
| 88 | LOAN_SUB_PURP | CHARACTER VARYING(50) | 50 |
| 89 | MARGIN | NUMERIC(10,6) | 19 |
| 90 | MARKET_OFF_BAL_FLAG | CHARACTER VARYING(1) | 1 |
| 91 | MAT_DATE | TIMESTAMP | 8 |
| 92 | MAT_DATE_ADJUSTED | NUMERIC(3,0) | 19 |
| 93 | MAT_DATE_RAW | CHARACTER VARYING(30) | 30 |
| 94 | MIN_CREDIT_RATING | NUMERIC(8,4) | 19 |
| 95 | MORTGAGE_OFFSET_ACCOUNT | NUMERIC(25,0) | 19 |
| 96 | MTM | NUMERIC(20,4) | 19 |
| 97 | MTM_PRICE | NUMERIC(8,4) | 19 |
| 98 | MTM_SPREAD | NUMERIC(9,5) | 19 |
| 99 | NEG_INT_RATE | NUMERIC(8,4) | 19 |
| 100 | NEXT_PAYMENT_DATE | TIMESTAMP | 8 |
| 101 | NEXT_PAYMENT_DATE_FLOATING | CHARACTER VARYING(30) | 30 |
| 102 | NEXT_PAYMENT_DATE_RAW | CHARACTER VARYING(30) | 30 |
| 103 | NEXT_REPRICE_DATE | TIMESTAMP | 8 |
| 104 | NEXT_REPRICE_DATE_FLOATING | TIMESTAMP | 8 |
| 105 | NEXT_REPRICE_DATE_RAW | TIMESTAMP | 8 |
| 106 | NON_CORE_FLAG | CHARACTER VARYING(1) | 1 |
| 107 | OD_SECURED_FLAG | CHARACTER VARYING(1) | 1 |
| 108 | ORACLE_GL_ACCOUNT | NUMERIC(10,0) | 19 |
| 109 | ORACLE_GL_BUS_UNIT | CHARACTER VARYING(20) | 20 |
| 110 | ORACLE_GL_COST_CENTRE | NUMERIC(10,0) | 19 |
| 111 | ORACLE_GL_PRODUCT | CHARACTER VARYING(20) | 20 |
| 112 | ORG_RATE | NUMERIC(8,4) | 19 |
| 113 | ORG_TERM | NUMERIC(5,0) | 19 |
| 114 | ORG_TERM_MULT | CHARACTER VARYING(1) | 1 |
| 115 | ORIG_LVR | NUMERIC(9,2) | 19 |
| 116 | ORIGINAL_LOAN_AMOUNT | NUMERIC(19,4) | 19 |
| 117 | ORIGINAL_TABLE | CHARACTER VARYING(50) | 50 |
| 118 | ORIGINATION_DATE | TIMESTAMP | 8 |
| 119 | PAY_INTENDDTE | CHARACTER VARYING(30) | 30 |
| 120 | PAY_INTRATE_8 | NUMERIC(8,4) | 19 |
| 121 | PAY_INTSTRTDTE | CHARACTER VARYING(30) | 30 |
| 122 | PAY_SPREAD | NUMERIC(8,4) | 19 |
| 123 | PAYCYCLE | CHARACTER VARYING(30) | 30 |
| 124 | PAYMENT_FREQUENCY | CHARACTER VARYING(30) | 30 |
| 125 | PAYMENT_FREQUENCY_FLOATING | CHARACTER VARYING(30) | 30 |
| 126 | PEOPLESOFT_BUSINESS_UNIT | CHARACTER VARYING(5) | 5 |
| 127 | PEOPLESOFT_COST_CENTRE | CHARACTER VARYING(20) | 20 |
| 128 | PEOPLESOFT_PRODUCT_CODE | CHARACTER VARYING(20) | 20 |
| 129 | PMT_FREQ | NUMERIC(5,0) | 19 |
| 130 | PMT_FREQ_FLT | NUMERIC(12,4) | 19 |
| 131 | PMT_FREQ_MULT | CHARACTER VARYING(1) | 1 |
| 132 | PORTFOLIO_DATE | TIMESTAMP | 8 |
| 133 | POSITION_STATUS | CHARACTER VARYING(50) | 50 |
| 134 | PRINAMT | DOUBLE PRECISION | 8 |
| 135 | PRODUCT_CODE_1 | CHARACTER VARYING(50) | 50 |
| 136 | PRODUCT_CODE_2 | CHARACTER VARYING(50) | 50 |
| 137 | PRODUCT_CODE_3 | CHARACTER VARYING(6) | 6 |
| 138 | PRODUCT_CODE_4 | CHARACTER VARYING(6) | 6 |
| 139 | PRODUCT_CODE_5 | CHARACTER VARYING(25) | 25 |
| 140 | PROPERTY_RIGHTS | CHARACTER VARYING(25) | 25 |
| 141 | QRM_ACCOUNT | CHARACTER VARYING(75) | 75 |
| 142 | QRM_ACCOUNT_LIQUIDITY | CHARACTER VARYING(50) | 50 |
| 143 | QTY | NUMERIC(20,4) | 19 |
| 144 | RATE_CODE | CHARACTER VARYING(40) | 40 |
| 145 | RATE_CYCLE | CHARACTER VARYING(40) | 40 |
| 146 | RATE_TYPE | CHARACTER VARYING(40) | 40 |
| 147 | REC_INTENDDTE | CHARACTER VARYING(30) | 30 |
| 148 | REC_INTRATE_8 | NUMERIC(8,4) | 19 |
| 149 | REC_INTSTRTDTE | CHARACTER VARYING(30) | 30 |
| 150 | REC_SPREAD | NUMERIC(8,4) | 19 |
| 151 | RECCYCLE | INTEGER | 4 |
| 152 | REPOSSESSION_DATE | CHARACTER VARYING(30) | 30 |
| 153 | REPRICE_FREQ | NUMERIC(5,0) | 19 |
| 154 | REPRICE_FREQ_MULT | CHARACTER VARYING(1) | 1 |
| 155 | RESIDUAL_AMOUNT | DOUBLE PRECISION | 8 |
| 156 | RISK_WEIGHTING | NUMERIC(8,4) | 19 |
| 157 | SEC_REPORTABLE_FLAG | CHARACTER VARYING(5) | 5 |
| 158 | SECURITISE_ID | CHARACTER VARYING(50) | 50 |
| 159 | SETTLEDATE | CHARACTER VARYING(30) | 30 |
| 160 | SOURCE_SYSTEM | CHARACTER VARYING(3) | 3 |
| 161 | SUNLOANS_NUMBER | NUMERIC(15,0) | 19 |
| 162 | TARGET_LVR | NUMERIC(7,2) | 19 |
| 163 | TP_ADDON_CALCULATION | NUMERIC(19,4) | 19 |
| 164 | TP_ADDON_RATE | NUMERIC(8,4) | 19 |
| 165 | TP_BASE_RATE | NUMERIC(8,4) | 19 |
| 166 | TP_BASIS_CALCULATION | NUMERIC(19,4) | 19 |
| 167 | TP_BASIS_COST | NUMERIC(8,4) | 19 |
| 168 | TP_DAYS_ON_OLD_RT | NUMERIC(2,0) | 19 |
| 169 | TP_IRR_CALCULATION | NUMERIC(19,4) | 19 |
| 170 | TP_LIQUIDITY_CALCULATION | NUMERIC(19,4) | 19 |
| 171 | TP_LIQUIDITY_RATE | NUMERIC(8,4) | 19 |
| 172 | TP_LIQUIDITY_RUNOFF_PERCENT | NUMERIC(8,4) | 19 |
| 173 | TP_LIQUIDITY_RUNOFF_CATEGORY | CHARACTER VARYING(50) | 50 |
| 174 | TP_OLD_ADDON_RATE | NUMERIC(8,4) | 19 |
| 175 | TP_OLD_BASE_RATE | NUMERIC(8,4) | 19 |
| 176 | TP_OLD_BASIS_COST | NUMERIC(8,4) | 19 |
| 177 | TP_OLD_TRF_SPREAD | NUMERIC(8,4) | 19 |
| 178 | TP_STATUS | CHARACTER VARYING(50) | 50 |
| 179 | TP_TRF_SPRD_CALC | NUMERIC(19,4) | 19 |
| 180 | TP_WGTDAVG_ADDON_RTE | NUMERIC(8,4) | 19 |
| 181 | TP_WGTDAVG_BASE_RATE | NUMERIC(8,4) | 19 |
| 182 | TP_WGTDAVG_BASIS_CST | NUMERIC(8,4) | 19 |
| 183 | TRADING_BOOK_FLAG | CHARACTER VARYING(1) | 1 |
| 184 | TRANSFER_RATE | NUMERIC(8,4) | 19 |
| 185 | TRANSFER_SPREAD | NUMERIC(8,4) | 19 |
| 186 | TRGT_CAP_ADEQUCY | NUMERIC(8,4) | 19 |
| 187 | BEHAVIOURAL_DURATION | NUMERIC(5,0) | 19 |
| 188 | TP_FUNDING_CENTREALLOC_RATE | NUMERIC(8,4) | 19 |
| 189 | TP_FUNDING_CENTREALLOC_CALC | NUMERIC(19,4) | 19 |
| 190 | LOAN_STATUS | INTEGER | 4 |
| 191 | PRODUCT_ID | CHARACTER VARYING(250) | 250 |
| 192 | DATA_DATE | TIMESTAMP | 8 |
| 193 | LOAD_ID | INTEGER | 4 |
| 194 | CDC_SOURCE_SYSTEM_CODE | CHARACTER VARYING(4) | 4 |
| 195 | CDC_RECORD_TYPE | CHARACTER VARYING(16) | 16 |
| 196 | CDC_COMMIT_TIMESTAMP | TIMESTAMP | 8 |
| 197 | CDC_EXTRACT_TIMESTAMP | TIMESTAMP | 8 |