The Payment Schedule Detail Object
This item maps to the PaymentScheduleDetail
object in the FlexNet Manager Suite
compliance database.
Behavior in the Business Adapter Studio
When you create new objects in the Business Adapter Studio, the
Payment Schedule Detail
appears in the
Payment Schedule
group in the right-click context
menu.
Properties
The Payment Schedule Detail
object exposes the following properties in the data model for
the Business Importer and the Business Adapter Studio.
Property |
Details |
---|---|
Actual/Fixed Amount
|
Type:
Maps to |
Actual/Fixed Amount Currency Rate ID
|
Type:
Stores the |
Budgeted Amount
|
Type:
Maps to |
Budgeted Amount Currency Rate ID
|
Type:
Stores the |
Estimated Amount
|
Type:
Maps to |
Estimated Amount Currency Rate ID
|
Type:
Stores the |
Installment Covered
|
Type:
Maps to |
Installment End Date
|
Type:
Maps to |
Installment Start Date
|
Type:
Maps to It is used (perhaps in conjunction with other properties) as a key for matching existing records there. |
Installment Status
|
Type:
Values of |
Notes
|
Type:
Maps to |
Obligated to Pay
|
Type:
Maps to |
Payment Date
|
Type:
Maps to |
Payment Schedule ID
|
Type:
Stores the It is used (perhaps in conjunction with other properties) as a key for matching existing records there. |
Quantity
|
Type:
Maps to |
Software Assurance Unit Price
|
Type:
Maps to |
Software Assurance Unit Price Rate ID
|
Type:
Stores the |
Unit Price
|
Type:
Maps to |
Unit Price Currency Rate ID
|
Type:
Stores the |
Data model version 13.2
FlexNet Manager Suite (On-Premises)
2024 R2