CREDIT_REPOSITORY 
EntityType  Independent 
Logical Entity Name  CREDIT_REPOSITORY 
Default Table Name  DEAL/SERVICES/SERVICE/CREDIT/CREDIT_RESPONSE/CREDIT_TRADE_REFERENCES/CREDIT_TRADE_REFERENCE/CREDIT_REPOSITORIES/CREDIT_REPOSITORY 
Definition   
Note 
 

CREDIT_REPOSITORY Attributes 
Attribute/Logical Rolename  Domain  Datatype  NULL  Definition 
SequenceNumber  XSD:Integer  INTEGER  YES  An integer value used to provide an order to multi-instance sibling elements. The value must be unique for each sibling element. 
CreditRepositorySourceType  CreditRepositorySourceEnum  VARCHAR(0)  YES  This element describes the source of the credit file, Equifax, Experian, Trans Union or Unspecified if the specific sources are not specified.
 
CreditRepositorySourceTypeOtherDescription  MISMOString  VARCHAR(0)  NO  When Credit Repository Source Type is set to Other, enter its value in this data element. 
CreditRepositorySubscriberCode  MISMOCode  VARCHAR(0)  NO  This is the subscriber code (sometimes called member code) of the liability holder or provider of data to the credit repository bureau. 

CREDIT_REPOSITORY Keys 
Key Name  Key Type  Keys 

CREDIT_REPOSITORY Relationships 
Parent Relationships: 
Entity Name  Type  Cardinality  Business Name  VerbPhrase  InversePhrase  Foreign Keys  Is Supertype 
CREDIT_REPOSITORIES  Non-Identifying  Zero or One to Zero or More          NO 
Child Relationships: 
Entity Name  Type  Cardinality  Business Name  VerbPhrase  InversePhrase  Foreign Keys  Is Subtype 

CREDIT_REPOSITORY Check Constraints 
Check Constraint Name  CheckConstraint 

CREDIT_REPOSITORY Bound Attachments 
Name  Current Value 

CREDIT_REPOSITORY User-Defined Mappings 
Model  Name  Description 

CREDIT_REPOSITORY Data Movement Rules 
Name  Type  Rule Text/Value