MONETARY_EVENT_SUMMARY |
EntityType | Dependent |
Logical Entity Name | MONETARY_EVENT_SUMMARY |
Default Table Name | DEAL/SERVICES/SERVICE/CREDIT/CREDIT_RESPONSE/LOANS/LOAN/SERVICING/MONETARY_EVENT_SUMMARIES/MONETARY_EVENT_SUMMARY |
Definition | Container for summary reporting of monetary transactions related to loan payments, draws, payoffs and other that occur within a reporting period. |
Note |
MONETARY_EVENT_SUMMARY 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. |
MONETARY_EVENT_SUMMARY Keys |
Key Name | Key Type | Keys |
MONETARY_EVENT_SUMMARY Relationships |
Parent Relationships: |
Entity Name | Type | Cardinality | Business Name | VerbPhrase | InversePhrase | Foreign Keys | Is Supertype |
MONETARY_EVENT_SUMMARIES | Identifying | One To Zero or More | NO |
Child Relationships: |
Entity Name | Type | Cardinality | Business Name | VerbPhrase | InversePhrase | Foreign Keys | Is Subtype |
MONETARY_EVENT_SUMMARY_DETAIL | Identifying | One to Zero or One | NO | ||||
STATUS_CHANGE_EVENTS | Non-Identifying | One to Zero or One | NO | ||||
INVESTOR_REPORTING_ADDITIONAL_CHARGES | Non-Identifying | One to Zero or One | NO |
MONETARY_EVENT_SUMMARY Check Constraints |
Check Constraint Name | CheckConstraint |
MONETARY_EVENT_SUMMARY Bound Attachments |
Name | Current Value |
MONETARY_EVENT_SUMMARY User-Defined Mappings |
Model | Name | Description |
MONETARY_EVENT_SUMMARY Data Movement Rules |
Name | Type | Rule Text/Value |