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