FH loan in BankingCoreDataModel(FHLoan)

Loans held by the customer with the financial institution.

Latest version of the JSON entity definition is available on GitHub.

Traits

Traits for this entity are listed below.

is.CDM.entityVersion

ParameterValueData typeExplanation
versionNumber"1.1"stringsemantic version number of the entity

is.identifiedBy
names a specifc identity attribute to use with an entity

ParameterValueData typeExplanation
attributeFHLoan/(resolvedAttributes)/FH_LoanIdattribute

means.entityState
the attribute represents the current state of the entity.

ParameterValueData typeExplanation
attributeFHLoan/(resolvedAttributes)/statecodeattribute

is.CDM.attributeGroup
identifies standard groups of attributes in CDM entities.

ParameterValueData typeExplanation
groupList
attributeGroupReference
/FinancialServices/BankingCoreDataModel
/FHLoan.cdm.json/FHLoan/hasAttributes
/attributesAddedAtThisScope
entity

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enLoans held by the customer with the financial institution.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFH loan
entitya reference to the constant entity holding the list of localized text

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_fh_loan"string

has.entitySchemaAbstractionLevel
A level of abstraction assigned to an Entity schema. Logical schema descriptions use complex dataTypes, inheritance, and entities as attributes. Resolved descriptions contain none of those things, only final trait and attribute sets are shown. A composition schema manipulates, guides or re-states parts of logical schemas to produce one resolved schema.

ParameterValueData typeExplanation
level"resolved"stringPossible values: logical, composition, resolved

Attributes

Name Description First Included in Instance
FH_LoanId Unique identifier for entity instances. BankingCoreDataModel/FHLoan
createdOn Date and time when the record was created. BankingCoreDataModel/FHLoan
modifiedOn Date and time when the record was modified. BankingCoreDataModel/FHLoan
statecode Status of the FH Loan. BankingCoreDataModel/FHLoan
statuscode Reason for the status of the FH Loan. BankingCoreDataModel/FHLoan
importSequenceNumber Sequence number of the import that created this record. BankingCoreDataModel/FHLoan
overriddenCreatedOn Date and time that the record was migrated. BankingCoreDataModel/FHLoan
timeZoneRuleVersionNumber For internal use only. BankingCoreDataModel/FHLoan
UTCConversionTimeZoneCode Time zone code that was in use when the record was created. BankingCoreDataModel/FHLoan
name Required name field. BankingCoreDataModel/FHLoan
accountingClassification Indicates whether the financial holding is an asset or a liability. BankingCoreDataModel/FHLoan
balance The balance owed by borrower on the loan, in the original currency of the financial holding. BankingCoreDataModel/FHLoan
balance_Base Value of the balance in base currency. BankingCoreDataModel/FHLoan
balanceDefault Balance converted to default currency of the system. BankingCoreDataModel/FHLoan
balanceExchangerate Exchange rate between the transaction currency of the financial holding and the default currency (1 unit of transaction currency = X units of default currency). BankingCoreDataModel/FHLoan
capitalArrears Capitalized arrears is the total overdue principal, interest, or other amounts which have been added to capital balance of the loan. BankingCoreDataModel/FHLoan
capitalarrears_Base Value of the capitalized arrears in base currency. BankingCoreDataModel/FHLoan
capitalArrears_default Capitalized arrears converted to default currency of the system. BankingCoreDataModel/FHLoan
collectionRisk The level of risk that a borrower may not be able to repay a loan. BankingCoreDataModel/FHLoan
delinquencyStatus Indication of whether the customer’s loan is delinquent or not (that is, whether any payments are overdue or not). BankingCoreDataModel/FHLoan
disbursedAmount The amount of loan that has been disbursed to the customer so far. BankingCoreDataModel/FHLoan
disbursedamount_Base Value of the disbursed amount in base currency. BankingCoreDataModel/FHLoan
disbursedAmount_default Disbursed amount converted to default currency of the system. BankingCoreDataModel/FHLoan
disbursementDate The last date on which the disbursement payment was disbursed to the borrower. BankingCoreDataModel/FHLoan
feeArrears Total amount of fees for overdue payments on the loan. BankingCoreDataModel/FHLoan
feearrears_Base Value of the arrears fee in base currency. BankingCoreDataModel/FHLoan
feeArrears_default Arrears fee converted to default currency of the system. BankingCoreDataModel/FHLoan
financialHoldingCategory The category of the financial holding (Accounts, Long-term savings, Investments, Loans and Lines or credit). BankingCoreDataModel/FHLoan
financialHoldingType Subtypes under Financial Category. BankingCoreDataModel/FHLoan
installmentAmount The equal monthly installment payments a customer makes to the bank toward repayment of the loan (EMI). BankingCoreDataModel/FHLoan
installmentamount_Base Value of the installment amount in base currency. BankingCoreDataModel/FHLoan
installmentAmount_default Installment amount converted to default currency of the system. BankingCoreDataModel/FHLoan
integrationKey Used by the system integrator to uniquely define the data record. BankingCoreDataModel/FHLoan
interestArrears Total overdue interest amount on the loan. BankingCoreDataModel/FHLoan
interestarrears_Base Value of the interest arrears in base currency. BankingCoreDataModel/FHLoan
interestArrears_default Interest arrears converted to default currency of the system. BankingCoreDataModel/FHLoan
interestrate The rate of interest charged to the loan borrower during a defined period or term during the course of a loan. BankingCoreDataModel/FHLoan
interestReviewPeriod The time period that defines the periodic interest rate timeframe. BankingCoreDataModel/FHLoan
interestType The type of interest charged on the loan: fixed, periodical, floating, etc. BankingCoreDataModel/FHLoan
lastPaymentAmount The amount that was paid by the customer towards the loan in the last loan payment. BankingCoreDataModel/FHLoan
lastpaymentamount_Base Value of the last payment amount in base currency. BankingCoreDataModel/FHLoan
lastPaymentAmount_default Last payment amount converted to default currency of the system. BankingCoreDataModel/FHLoan
lastPaymentDate The date on which the last repayment towards the loan was made by the customer. BankingCoreDataModel/FHLoan
loanStartDate The date on which the first repayment on the loan is made. BankingCoreDataModel/FHLoan
maturitydate The date on which the final payment is due on a financial holding. This can be a repayment towards an investment, a loan, or a saving. BankingCoreDataModel/FHLoan
modeofPayment The method that customer is making repayments towards the loan. BankingCoreDataModel/FHLoan
nextInterestReviewDate In case of periodical interest, the next interest review date. BankingCoreDataModel/FHLoan
nextPaymentAmount The amount that needs to be paid by the customer towards the loan in the next installment. BankingCoreDataModel/FHLoan
nextpaymentamount_Base Value of the next payment amount in base currency. BankingCoreDataModel/FHLoan
nextPaymentAmount_default Next payment amount converted to default currency of the system. BankingCoreDataModel/FHLoan
nextPaymentDate The date on which the next payment towards the financial holding is due. This can be applied to credits and loans. BankingCoreDataModel/FHLoan
numberofDeferralsMade Total number of installment deferrals made by the customer (i.e. number of times customer has taken a loan repayment holiday from the bank). BankingCoreDataModel/FHLoan
numberofInstallmentsPaid Total number of installments that have been paid back by the customer so far. BankingCoreDataModel/FHLoan
overdueDate The date on which the repayment was missed and the loan became overdue. BankingCoreDataModel/FHLoan
principalAmount The principal amount of the financial holding paid to-date. BankingCoreDataModel/FHLoan
principalamount_Base Value of the principal amount in base currency. BankingCoreDataModel/FHLoan
principalAmount_default Principal amount converted to default currency of the system. BankingCoreDataModel/FHLoan
repaymentAccount Source account of repayments. BankingCoreDataModel/FHLoan
totalArrear The total amount of repayments towards the loan which have been missed by the customer and are overdue. BankingCoreDataModel/FHLoan
totalarrear_Base Value of the total arrears in base currency. BankingCoreDataModel/FHLoan
totalArrear_default Total arrears converted to default currency of the system. BankingCoreDataModel/FHLoan
totalInterestPaid Total amount of payments made towards interest of the loan to date. BankingCoreDataModel/FHLoan
totalinterestpaid_Base Value of the total interest paid in base currency. BankingCoreDataModel/FHLoan
totalInterestPaid_default Total interest paid converted to default currency of the system. BankingCoreDataModel/FHLoan
balanceDefaultDisplayValue BankingCoreDataModel/FHLoan
balanceDisplayValue Display value shows the balance of a financial holding in accordance with the type of the financial holding. Financial holdings that are typically defined as a customer's liabilities (such as lines of credit and loans) are presented as positive when the customer owes money to the financial institution (that is, a loan with an accounting value of -500 will appear as 500). In the inverse case: the display value will be negative for debit balances on a credit financial holding (such as overpayment of a credit card), or overdrawn account. BankingCoreDataModel/FHLoan
balancedisplayvalue_Base Value of the balance display value in base currency. BankingCoreDataModel/FHLoan
dayspastdue The number of days that the customer has been in overdue status for this loan account. BankingCoreDataModel/FHLoan

FH_LoanId

Unique identifier for entity instances.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameFH loan
descriptionUnique identifier for entity instances.
isPrimaryKeytrue
dataFormatguid
sourceNamemsfsi_fh_loanid

Traits

List of traits for the FH_LoanId attribute are listed below.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

is.dataFormat.guid
means.identity.entityId
is.identifiedBy
names a specifc identity attribute to use with an entity

ParameterValueData typeExplanation
attributeFHLoan/(resolvedAttributes)/FH_LoanIdattribute

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"systemrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enUnique identifier for entity instances.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFH loan
entitya reference to the constant entity holding the list of localized text

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_fh_loanid"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"1"integer

is.dataFormat.guid
is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

createdOn

Date and time when the record was created.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameCreated On
descriptionDate and time when the record was created.
dataFormatdateTime
isNullabletrue
sourceNamecreatedon

Traits

List of traits for the createdOn attribute are listed below.

is.dataFormat.date
means.measurement.date
is.dataFormat.time
means.measurement.time
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDate and time when the record was created.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enCreated On
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"createdon"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"2"integer

is.dataFormat.time
is.dataFormat.date

modifiedOn

Date and time when the record was modified.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameModified On
descriptionDate and time when the record was modified.
dataFormatdateTime
isNullabletrue
sourceNamemodifiedon

Traits

List of traits for the modifiedOn attribute are listed below.

is.dataFormat.date
means.measurement.date
is.dataFormat.time
means.measurement.time
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDate and time when the record was modified.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enModified On
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"modifiedon"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"4"integer

is.dataFormat.time
is.dataFormat.date

statecode

Status of the FH Loan.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameStatus
descriptionStatus of the FH Loan.
dataFormatint32
sourceNamestatecode
valueConstrainedToListtrue
defaultValue
languageTagdisplayTextattributeValue
enActive0
enInactive1

Traits

List of traits for the statecode attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
does.haveDefault
An attribute has a default value

ParameterValueData typeExplanation
default
languageTagdisplayTextattributeValue
enActive0
enInactive1
any

is.constrainedList
the values of an attribute are taken from or looked up from a fixed list of possibilities

means.entityState
the attribute represents the current state of the entity.

ParameterValueData typeExplanation
attributeFHLoan/(resolvedAttributes)/statecodeattribute

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"systemrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enStatus of the FH Loan.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enStatus
entitya reference to the constant entity holding the list of localized text

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"statecode"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"25"integer

is.dataFormat.integer

statuscode

Reason for the status of the FH Loan.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameStatus Reason
descriptionReason for the status of the FH Loan.
dataFormatint32
isNullabletrue
sourceNamestatuscode
valueConstrainedToListtrue
defaultValue
languageTagdisplayTextattributeValuecorrelatedValue
enActive11
enInactive22

Traits

List of traits for the statuscode attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
does.haveDefault
An attribute has a default value

ParameterValueData typeExplanation
default
languageTagdisplayTextattributeValuecorrelatedValue
enActive11
enInactive22
any

is.constrainedList
the values of an attribute are taken from or looked up from a fixed list of possibilities

is.correlatedWith
the attribute value is correlated with the sourceAttribute

ParameterValueData typeExplanation
sourceAttribute"statecode"attributeName

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enReason for the status of the FH Loan.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enStatus Reason
entitya reference to the constant entity holding the list of localized text

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"statuscode"string

is.nullable
The attribute value may be set to NULL.

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"27"integer

is.dataFormat.integer

importSequenceNumber

Sequence number of the import that created this record.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameImport Sequence Number
descriptionSequence number of the import that created this record.
dataFormatint32
maximumValue2147483647
minimumValue-2147483648
isNullabletrue
sourceNameimportsequencenumber

Traits

List of traits for the importSequenceNumber attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enSequence number of the import that created this record.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enImport Sequence Number
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-2147483648"decimal
maximumValue"2147483647"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"importsequencenumber"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"30"integer

is.dataFormat.integer

overriddenCreatedOn

Date and time that the record was migrated.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameRecord Created On
descriptionDate and time that the record was migrated.
dataFormatdate
isNullabletrue
sourceNameoverriddencreatedon

Traits

List of traits for the overriddenCreatedOn attribute are listed below.

is.dataFormat.date
means.measurement.date
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDate and time that the record was migrated.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enRecord Created On
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"overriddencreatedon"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"31"integer

is.dataFormat.date

timeZoneRuleVersionNumber

For internal use only.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameTime Zone Rule Version Number
descriptionFor internal use only.
dataFormatint32
maximumValue2147483647
minimumValue-1
isNullabletrue
sourceNametimezoneruleversionnumber

Traits

List of traits for the timeZoneRuleVersionNumber attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFor internal use only.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTime Zone Rule Version Number
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-1"decimal
maximumValue"2147483647"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"timezoneruleversionnumber"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"32"integer

is.dataFormat.integer

UTCConversionTimeZoneCode

Time zone code that was in use when the record was created.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameUTC Conversion Time Zone Code
descriptionTime zone code that was in use when the record was created.
dataFormatint32
maximumValue2147483647
minimumValue-1
isNullabletrue
sourceNameutcconversiontimezonecode

Traits

List of traits for the UTCConversionTimeZoneCode attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTime zone code that was in use when the record was created.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enUTC Conversion Time Zone Code
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-1"decimal
maximumValue"2147483647"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"utcconversiontimezonecode"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"33"integer

is.dataFormat.integer

name

Required name field.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameName
descriptionRequired name field.
dataFormatstring
maximumLength100
isNullabletrue
sourceNamemsfsi_name

Traits

List of traits for the name attribute are listed below.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"applicationrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enRequired name field.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enName
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"100"integer

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_name"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"34"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

accountingClassification

Indicates whether the financial holding is an asset or a liability.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameAccounting classification
descriptionIndicates whether the financial holding is an asset or a liability.
dataFormatint32
isNullabletrue
sourceNamemsfsi_accountingclassification
valueConstrainedToListtrue
defaultValue
languageTagdisplayTextattributeValue
enAsset1
enLiability2

Traits

List of traits for the accountingClassification attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
does.haveDefault
An attribute has a default value

ParameterValueData typeExplanation
default
languageTagdisplayTextattributeValue
enAsset1
enLiability2
any

is.constrainedList
the values of an attribute are taken from or looked up from a fixed list of possibilities

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"applicationrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates whether the financial holding is an asset or a liability.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enAccounting classification
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_accountingclassification"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"35"integer

is.dataFormat.integer

balance

The balance owed by borrower on the loan, in the original currency of the financial holding.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameBalance
descriptionThe balance owed by borrower on the loan, in the original currency of the financial holding.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_balance

Traits

List of traits for the balance attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"applicationrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe balance owed by borrower on the loan, in the original currency of the financial holding.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBalance
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_balance"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"37"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

balance_Base

Value of the balance in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameBalance (base)
descriptionValue of the balance in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_balance_base

Traits

List of traits for the balance_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the balance in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBalance (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_balance_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"41"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

balanceDefault

Balance converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameBalance (default)
descriptionBalance converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_balancedefault

Traits

List of traits for the balanceDefault attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"applicationrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBalance converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBalance (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_balancedefault"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"42"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

balanceExchangerate

Exchange rate between the transaction currency of the financial holding and the default currency (1 unit of transaction currency = X units of default currency).
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameBalance exchange rate
descriptionExchange rate between the transaction currency of the financial holding and the default currency (1 unit of transaction currency = X units of default currency).
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_balanceexchangerate

Traits

List of traits for the balanceExchangerate attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enExchange rate between the transaction currency of the financial holding and the default currency (1 unit of transaction currency = X units of default currency).
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBalance exchange rate
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_balanceexchangerate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"43"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

capitalArrears

Capitalized arrears is the total overdue principal, interest, or other amounts which have been added to capital balance of the loan.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameCapitalized arrears
descriptionCapitalized arrears is the total overdue principal, interest, or other amounts which have been added to capital balance of the loan.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_capitalarrears

Traits

List of traits for the capitalArrears attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enCapitalized arrears is the total overdue principal, interest, or other amounts which have been added to capital balance of the loan.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enCapitalized arrears
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_capitalarrears"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"44"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

capitalarrears_Base

Value of the capitalized arrears in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameCapitalized arrears (base)
descriptionValue of the capitalized arrears in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_capitalarrears_base

Traits

List of traits for the capitalarrears_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the capitalized arrears in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enCapitalized arrears (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_capitalarrears_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"45"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

capitalArrears_default

Capitalized arrears converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameCapitalized arrears (default)
descriptionCapitalized arrears converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_capitalarrears_default

Traits

List of traits for the capitalArrears_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enCapitalized arrears converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enCapitalized arrears (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_capitalarrears_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"46"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

collectionRisk

The level of risk that a borrower may not be able to repay a loan.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameCollection risk
descriptionThe level of risk that a borrower may not be able to repay a loan.
dataFormatint32
isNullabletrue
sourceNamemsfsi_collectionrisk
valueConstrainedToListtrue
defaultValue
languageTagdisplayTextattributeValue
enLow104800000
enMedium104800001
enHigh104800002

Traits

List of traits for the collectionRisk attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
does.haveDefault
An attribute has a default value

ParameterValueData typeExplanation
default
languageTagdisplayTextattributeValue
enLow104800000
enMedium104800001
enHigh104800002
any

is.constrainedList
the values of an attribute are taken from or looked up from a fixed list of possibilities

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe level of risk that a borrower may not be able to repay a loan.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enCollection risk
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_collectionrisk"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"47"integer

is.dataFormat.integer

delinquencyStatus

Indication of whether the customer’s loan is delinquent or not (that is, whether any payments are overdue or not).
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameDelinquency status
descriptionIndication of whether the customer’s loan is delinquent or not (that is, whether any payments are overdue or not).
dataFormatboolean
isNullabletrue
sourceNamemsfsi_delinquencystatus

Traits

List of traits for the delinquencyStatus attribute are listed below.

is.dataFormat.boolean
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndication of whether the customer’s loan is delinquent or not (that is, whether any payments are overdue or not).
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDelinquency status
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_delinquencystatus"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"49"integer

is.dataFormat.boolean

disbursedAmount

The amount of loan that has been disbursed to the customer so far.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameDisbursed amount
descriptionThe amount of loan that has been disbursed to the customer so far.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_disbursedamount

Traits

List of traits for the disbursedAmount attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe amount of loan that has been disbursed to the customer so far.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDisbursed amount
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_disbursedamount"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"51"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

disbursedamount_Base

Value of the disbursed amount in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameDisbursed amount (base)
descriptionValue of the disbursed amount in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_disbursedamount_base

Traits

List of traits for the disbursedamount_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the disbursed amount in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDisbursed amount (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_disbursedamount_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"52"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

disbursedAmount_default

Disbursed amount converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameDisbursed amount (default)
descriptionDisbursed amount converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_disbursedamount_default

Traits

List of traits for the disbursedAmount_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDisbursed amount converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDisbursed amount (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_disbursedamount_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"53"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

disbursementDate

The last date on which the disbursement payment was disbursed to the borrower.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameDisbursement date
descriptionThe last date on which the disbursement payment was disbursed to the borrower.
dataFormatdate
isNullabletrue
sourceNamemsfsi_disbursementdate

Traits

List of traits for the disbursementDate attribute are listed below.

is.dataFormat.date
means.measurement.date
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe last date on which the disbursement payment was disbursed to the borrower.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDisbursement date
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_disbursementdate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"54"integer

is.dataFormat.date

feeArrears

Total amount of fees for overdue payments on the loan.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameArrears fee
descriptionTotal amount of fees for overdue payments on the loan.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_feearrears

Traits

List of traits for the feeArrears attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal amount of fees for overdue payments on the loan.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enArrears fee
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_feearrears"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"55"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

feearrears_Base

Value of the arrears fee in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameArrears fee (base)
descriptionValue of the arrears fee in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_feearrears_base

Traits

List of traits for the feearrears_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the arrears fee in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enArrears fee (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_feearrears_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"56"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

feeArrears_default

Arrears fee converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameArrears fee (default)
descriptionArrears fee converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_feearrears_default

Traits

List of traits for the feeArrears_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enArrears fee converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enArrears fee (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_feearrears_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"57"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

financialHoldingCategory

The category of the financial holding (Accounts, Long-term savings, Investments, Loans and Lines or credit).
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameFinancial holding category
descriptionThe category of the financial holding (Accounts, Long-term savings, Investments, Loans and Lines or credit).
dataFormatint32
isNullabletrue
sourceNamemsfsi_financialholdingcategory
valueConstrainedToListtrue
defaultValue
languageTagdisplayTextattributeValue
enLines of credit104800000
enLoans104800001
enInvestments104800002
enLong-term savings104800003
enAccounts104800004

Traits

List of traits for the financialHoldingCategory attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
does.haveDefault
An attribute has a default value

ParameterValueData typeExplanation
default
languageTagdisplayTextattributeValue
enLines of credit104800000
enLoans104800001
enInvestments104800002
enLong-term savings104800003
enAccounts104800004
any

is.constrainedList
the values of an attribute are taken from or looked up from a fixed list of possibilities

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"applicationrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe category of the financial holding (Accounts, Long-term savings, Investments, Loans and Lines or credit).
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial holding category
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_financialholdingcategory"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"58"integer

is.dataFormat.integer

financialHoldingType

Subtypes under Financial Category.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameFinancial holding type
descriptionSubtypes under Financial Category.
dataFormatint32
isNullabletrue
sourceNamemsfsi_financialholdingtype
valueConstrainedToListtrue
defaultValue
languageTagdisplayTextattributeValue
enSecured104800006
enUnsecured104800007
enMortgage104800008
enOther104800401

Traits

List of traits for the financialHoldingType attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
does.haveDefault
An attribute has a default value

ParameterValueData typeExplanation
default
languageTagdisplayTextattributeValue
enSecured104800006
enUnsecured104800007
enMortgage104800008
enOther104800401
any

is.constrainedList
the values of an attribute are taken from or looked up from a fixed list of possibilities

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"applicationrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enSubtypes under Financial Category.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial holding type
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_financialholdingtype"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"60"integer

is.dataFormat.integer

installmentAmount

The equal monthly installment payments a customer makes to the bank toward repayment of the loan (EMI).
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInstallment amount
descriptionThe equal monthly installment payments a customer makes to the bank toward repayment of the loan (EMI).
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_installmentamount

Traits

List of traits for the installmentAmount attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe equal monthly installment payments a customer makes to the bank toward repayment of the loan (EMI).
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInstallment amount
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_installmentamount"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"62"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

installmentamount_Base

Value of the installment amount in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInstallment amount (base)
descriptionValue of the installment amount in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_installmentamount_base

Traits

List of traits for the installmentamount_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the installment amount in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInstallment amount (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_installmentamount_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"63"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

installmentAmount_default

Installment amount converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInstallment amount (default)
descriptionInstallment amount converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_installmentamount_default

Traits

List of traits for the installmentAmount_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInstallment amount converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInstallment amount (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_installmentamount_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"64"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

integrationKey

Used by the system integrator to uniquely define the data record.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameIntegration key
descriptionUsed by the system integrator to uniquely define the data record.
dataFormatstring
maximumLength100
isNullabletrue
sourceNamemsfsi_integrationkey

Traits

List of traits for the integrationKey attribute are listed below.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"applicationrequired"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enUsed by the system integrator to uniquely define the data record.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIntegration key
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"100"integer

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_integrationkey"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"65"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

interestArrears

Total overdue interest amount on the loan.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInterest arrears
descriptionTotal overdue interest amount on the loan.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_interestarrears

Traits

List of traits for the interestArrears attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal overdue interest amount on the loan.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInterest arrears
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_interestarrears"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"66"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

interestarrears_Base

Value of the interest arrears in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInterest arrears (base)
descriptionValue of the interest arrears in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_interestarrears_base

Traits

List of traits for the interestarrears_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the interest arrears in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInterest arrears (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_interestarrears_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"67"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

interestArrears_default

Interest arrears converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInterest arrears (default)
descriptionInterest arrears converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_interestarrears_default

Traits

List of traits for the interestArrears_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInterest arrears converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInterest arrears (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_interestarrears_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"68"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

interestrate

The rate of interest charged to the loan borrower during a defined period or term during the course of a loan.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInterest rate
descriptionThe rate of interest charged to the loan borrower during a defined period or term during the course of a loan.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_interestrate

Traits

List of traits for the interestrate attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe rate of interest charged to the loan borrower during a defined period or term during the course of a loan.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInterest rate
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_interestrate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"69"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

interestReviewPeriod

The time period that defines the periodic interest rate timeframe.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInterest review period
descriptionThe time period that defines the periodic interest rate timeframe.
dataFormatstring
maximumLength100
isNullabletrue
sourceNamemsfsi_interestreviewperiod

Traits

List of traits for the interestReviewPeriod attribute are listed below.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe time period that defines the periodic interest rate timeframe.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInterest review period
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"100"integer

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_interestreviewperiod"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"70"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

interestType

The type of interest charged on the loan: fixed, periodical, floating, etc.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameInterest type
descriptionThe type of interest charged on the loan: fixed, periodical, floating, etc.
dataFormatint32
isNullabletrue
sourceNamemsfsi_interesttype
valueConstrainedToListtrue
defaultValue
languageTagdisplayTextattributeValue
enFixed104800000
enPeriodical104800001
enFloating104800002

Traits

List of traits for the interestType attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
does.haveDefault
An attribute has a default value

ParameterValueData typeExplanation
default
languageTagdisplayTextattributeValue
enFixed104800000
enPeriodical104800001
enFloating104800002
any

is.constrainedList
the values of an attribute are taken from or looked up from a fixed list of possibilities

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe type of interest charged on the loan: fixed, periodical, floating, etc.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInterest type
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_interesttype"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"71"integer

is.dataFormat.integer

lastPaymentAmount

The amount that was paid by the customer towards the loan in the last loan payment.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameLast payment amount
descriptionThe amount that was paid by the customer towards the loan in the last loan payment.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_lastpaymentamount

Traits

List of traits for the lastPaymentAmount attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe amount that was paid by the customer towards the loan in the last loan payment.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enLast payment amount
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_lastpaymentamount"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"73"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

lastpaymentamount_Base

Value of the last payment amount in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameLast payment amount (base)
descriptionValue of the last payment amount in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_lastpaymentamount_base

Traits

List of traits for the lastpaymentamount_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the last payment amount in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enLast payment amount (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_lastpaymentamount_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"74"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

lastPaymentAmount_default

Last payment amount converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameLast payment amount (default)
descriptionLast payment amount converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_lastpaymentamount_default

Traits

List of traits for the lastPaymentAmount_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enLast payment amount converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enLast payment amount (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_lastpaymentamount_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"75"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

lastPaymentDate

The date on which the last repayment towards the loan was made by the customer.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameLast payment date
descriptionThe date on which the last repayment towards the loan was made by the customer.
dataFormatdate
isNullabletrue
sourceNamemsfsi_lastpaymentdate

Traits

List of traits for the lastPaymentDate attribute are listed below.

is.dataFormat.date
means.measurement.date
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe date on which the last repayment towards the loan was made by the customer.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enLast payment date
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_lastpaymentdate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"76"integer

is.dataFormat.date

loanStartDate

The date on which the first repayment on the loan is made.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameStart date
descriptionThe date on which the first repayment on the loan is made.
dataFormatdate
isNullabletrue
sourceNamemsfsi_loanstartdate

Traits

List of traits for the loanStartDate attribute are listed below.

is.dataFormat.date
means.measurement.date
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe date on which the first repayment on the loan is made.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enStart date
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_loanstartdate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"77"integer

is.dataFormat.date

maturitydate

The date on which the final payment is due on a financial holding. This can be a repayment towards an investment, a loan, or a saving.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameMaturity date
descriptionThe date on which the final payment is due on a financial holding. This can be a repayment towards an investment, a loan, or a saving.
dataFormatdate
isNullabletrue
sourceNamemsfsi_maturitydate

Traits

List of traits for the maturitydate attribute are listed below.

is.dataFormat.date
means.measurement.date
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe date on which the final payment is due on a financial holding. This can be a repayment towards an investment, a loan, or a saving.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enMaturity date
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_maturitydate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"78"integer

is.dataFormat.date

modeofPayment

The method that customer is making repayments towards the loan.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameMode of payment
descriptionThe method that customer is making repayments towards the loan.
dataFormatint32
isNullabletrue
sourceNamemsfsi_modeofpayment
valueConstrainedToListtrue
defaultValue
languageTagdisplayTextattributeValue
enChecking account104800000
enSavings account104800004
enCurrent account104800001
enFund transfer104800002
enCheck104800003
enCash104800005

Traits

List of traits for the modeofPayment attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
does.haveDefault
An attribute has a default value

ParameterValueData typeExplanation
default
languageTagdisplayTextattributeValue
enChecking account104800000
enSavings account104800004
enCurrent account104800001
enFund transfer104800002
enCheck104800003
enCash104800005
any

is.constrainedList
the values of an attribute are taken from or looked up from a fixed list of possibilities

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe method that customer is making repayments towards the loan.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enMode of payment
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_modeofpayment"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"79"integer

is.dataFormat.integer

nextInterestReviewDate

In case of periodical interest, the next interest review date.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameNext interest review date
descriptionIn case of periodical interest, the next interest review date.
dataFormatdate
isNullabletrue
sourceNamemsfsi_nextinterestreviewdate

Traits

List of traits for the nextInterestReviewDate attribute are listed below.

is.dataFormat.date
means.measurement.date
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIn case of periodical interest, the next interest review date.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNext interest review date
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_nextinterestreviewdate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"81"integer

is.dataFormat.date

nextPaymentAmount

The amount that needs to be paid by the customer towards the loan in the next installment.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameNext payment amount
descriptionThe amount that needs to be paid by the customer towards the loan in the next installment.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_nextpaymentamount

Traits

List of traits for the nextPaymentAmount attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe amount that needs to be paid by the customer towards the loan in the next installment.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNext payment amount
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_nextpaymentamount"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"82"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

nextpaymentamount_Base

Value of the next payment amount in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameNext payment amount (base)
descriptionValue of the next payment amount in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_nextpaymentamount_base

Traits

List of traits for the nextpaymentamount_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the next payment amount in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNext payment amount (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_nextpaymentamount_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"83"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

nextPaymentAmount_default

Next payment amount converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameNext payment amount (default)
descriptionNext payment amount converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_nextpaymentamount_default

Traits

List of traits for the nextPaymentAmount_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNext payment amount converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNext payment amount (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_nextpaymentamount_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"84"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

nextPaymentDate

The date on which the next payment towards the financial holding is due. This can be applied to credits and loans.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameNext payment date
descriptionThe date on which the next payment towards the financial holding is due. This can be applied to credits and loans.
dataFormatdate
isNullabletrue
sourceNamemsfsi_nextpaymentdate

Traits

List of traits for the nextPaymentDate attribute are listed below.

is.dataFormat.date
means.measurement.date
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe date on which the next payment towards the financial holding is due. This can be applied to credits and loans.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNext payment date
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_nextpaymentdate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"85"integer

is.dataFormat.date

numberofDeferralsMade

Total number of installment deferrals made by the customer (i.e. number of times customer has taken a loan repayment holiday from the bank).
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameNumber of deferrals made
descriptionTotal number of installment deferrals made by the customer (i.e. number of times customer has taken a loan repayment holiday from the bank).
dataFormatint32
maximumValue2147483647
minimumValue-2147483648
isNullabletrue
sourceNamemsfsi_numberofdeferralsmade

Traits

List of traits for the numberofDeferralsMade attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal number of installment deferrals made by the customer (i.e. number of times customer has taken a loan repayment holiday from the bank).
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNumber of deferrals made
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-2147483648"decimal
maximumValue"2147483647"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_numberofdeferralsmade"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"86"integer

is.dataFormat.integer

numberofInstallmentsPaid

Total number of installments that have been paid back by the customer so far.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameNumber of installments paid
descriptionTotal number of installments that have been paid back by the customer so far.
dataFormatint32
maximumValue2147483647
minimumValue-2147483648
isNullabletrue
sourceNamemsfsi_numberofinstallmentspaid

Traits

List of traits for the numberofInstallmentsPaid attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal number of installments that have been paid back by the customer so far.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNumber of installments paid
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-2147483648"decimal
maximumValue"2147483647"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_numberofinstallmentspaid"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"87"integer

is.dataFormat.integer

overdueDate

The date on which the repayment was missed and the loan became overdue.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameOverdue date
descriptionThe date on which the repayment was missed and the loan became overdue.
dataFormatdate
isNullabletrue
sourceNamemsfsi_overduedate

Traits

List of traits for the overdueDate attribute are listed below.

is.dataFormat.date
means.measurement.date
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe date on which the repayment was missed and the loan became overdue.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enOverdue date
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_overduedate"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"88"integer

is.dataFormat.date

principalAmount

The principal amount of the financial holding paid to-date.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNamePaid principal amount
descriptionThe principal amount of the financial holding paid to-date.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_principalamount

Traits

List of traits for the principalAmount attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe principal amount of the financial holding paid to-date.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enPaid principal amount
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_principalamount"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"89"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

principalamount_Base

Value of the principal amount in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNamePaid principal amount (base)
descriptionValue of the principal amount in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_principalamount_base

Traits

List of traits for the principalamount_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the principal amount in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enPaid principal amount (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_principalamount_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"90"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

principalAmount_default

Principal amount converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNamePrincipal amount (default)
descriptionPrincipal amount converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_principalamount_default

Traits

List of traits for the principalAmount_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enPrincipal amount converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enPrincipal amount (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_principalamount_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"91"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

repaymentAccount

Source account of repayments.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameRepayment account
descriptionSource account of repayments.
dataFormatstring
maximumLength100
isNullabletrue
sourceNamemsfsi_repaymentaccount

Traits

List of traits for the repaymentAccount attribute are listed below.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enSource account of repayments.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enRepayment account
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"100"integer

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_repaymentaccount"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"92"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that shoud be taken as a whole and considered one value. Array of Character is a String, Array of Byte is a Binary Object

totalArrear

The total amount of repayments towards the loan which have been missed by the customer and are overdue.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameTotal arrears
descriptionThe total amount of repayments towards the loan which have been missed by the customer and are overdue.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_totalarrear

Traits

List of traits for the totalArrear attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe total amount of repayments towards the loan which have been missed by the customer and are overdue.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal arrears
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_totalarrear"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"93"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

totalarrear_Base

Value of the total arrears in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameTotal arrears (base)
descriptionValue of the total arrears in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_totalarrear_base

Traits

List of traits for the totalarrear_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the total arrears in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal arrears (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_totalarrear_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"94"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

totalArrear_default

Total arrears converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameTotal arrears (default)
descriptionTotal arrears converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_totalarrear_default

Traits

List of traits for the totalArrear_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal arrears converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal arrears (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_totalarrear_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"95"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

totalInterestPaid

Total amount of payments made towards interest of the loan to date.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameTotal interest paid
descriptionTotal amount of payments made towards interest of the loan to date.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_totalinterestpaid

Traits

List of traits for the totalInterestPaid attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal amount of payments made towards interest of the loan to date.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal interest paid
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_totalinterestpaid"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"96"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

totalinterestpaid_Base

Value of the total interest paid in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameTotal interest paid (base)
descriptionValue of the total interest paid in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_totalinterestpaid_base

Traits

List of traits for the totalinterestpaid_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the total interest paid in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal interest paid (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_totalinterestpaid_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"97"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

totalInterestPaid_default

Total interest paid converted to default currency of the system.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameTotal interest paid (default)
descriptionTotal interest paid converted to default currency of the system.
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_totalinterestpaid_default

Traits

List of traits for the totalInterestPaid_default attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal interest paid converted to default currency of the system.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTotal interest paid (default)
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_totalinterestpaid_default"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"98"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

balanceDefaultDisplayValue

First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameBalance (default) display value
dataFormatdecimal
maximumValue100000000000
minimumValue-100000000000
isNullabletrue
sourceNamemsfsi_balancedefaultdisplayvalue

Traits

List of traits for the balanceDefaultDisplayValue attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
en
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBalance (default) display value
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-100000000000"decimal
maximumValue"100000000000"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_balancedefaultdisplayvalue"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"99"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

balanceDisplayValue

Display value shows the balance of a financial holding in accordance with the type of the financial holding. Financial holdings that are typically defined as a customer's liabilities (such as lines of credit and loans) are presented as positive when the customer owes money to the financial institution (that is, a loan with an accounting value of -500 will appear as 500). In the inverse case: the display value will be negative for debit balances on a credit financial holding (such as overpayment of a credit card), or overdrawn account.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameBalance display value
descriptionDisplay value shows the balance of a financial holding in accordance with the type of the financial holding. Financial holdings that are typically defined as a customer's liabilities (such as lines of credit and loans) are presented as positive when the customer owes money to the financial institution (that is, a loan with an accounting value of -500 will appear as 500). In the inverse case: the display value will be negative for debit balances on a credit financial holding (such as overpayment of a credit card), or overdrawn account.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_balancedisplayvalue

Traits

List of traits for the balanceDisplayValue attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDisplay value shows the balance of a financial holding in accordance with the type of the financial holding. Financial holdings that are typically defined as a customer's liabilities (such as lines of credit and loans) are presented as positive when the customer owes money to the financial institution (that is, a loan with an accounting value of -500 will appear as 500). In the inverse case: the display value will be negative for debit balances on a credit financial holding (such as overpayment of a credit card), or overdrawn account.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBalance display value
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_balancedisplayvalue"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"100"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

balancedisplayvalue_Base

Value of the balance display value in base currency.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameBalance display value (base)
descriptionValue of the balance display value in base currency.
dataFormatdecimal
isNullabletrue
sourceNamemsfsi_balancedisplayvalue_base

Traits

List of traits for the balancedisplayvalue_Base attribute are listed below.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"19"integerthe total number of significant digits
scale"4"integerthe number of digits to the right of the decimal place

means.measurement.currency
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enValue of the balance display value in base currency.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBalance display value (base)
entitya reference to the constant entity holding the list of localized text

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_balancedisplayvalue_base"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"101"integer

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

dayspastdue

The number of days that the customer has been in overdue status for this loan account.
First included in: BankingCoreDataModel/FHLoan (this entity)

Properties

NameValue
displayNameDays past due
descriptionThe number of days that the customer has been in overdue status for this loan account.
dataFormatint32
maximumValue2147483647
minimumValue-2147483648
isNullabletrue
sourceNamemsfsi_dayspastdue

Traits

List of traits for the dayspastdue attribute are listed below.

is.dataFormat.integer
is.dataFormat.signed
indicates the capability to represent values less than zero.

is.dataFormat.numeric
is.requiredAtLevel
The requirement level for setting values into this attribute in CDS for Applications or for including this attribute in entities created in CDS for Analytics

ParameterValueData typeExplanation
level"none"stringvalues can be: 'systemrequired', 'required', 'recommended', 'none'

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe number of days that the customer has been in overdue status for this loan account.
entitya reference to the constant entity holding the list of localized text

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDays past due
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
minimumValue"-2147483648"decimal
maximumValue"2147483647"decimal

is.nullable
The attribute value may be set to NULL.

is.CDS.sourceNamed
the unique name that identifies this object in CDS for Applications.

ParameterValueData typeExplanation
name"msfsi_dayspastdue"string

is.CDS.ordered
the column number for an attribute with an entity in CDS for Applications.

ParameterValueData typeExplanation
ordinal"102"integer

is.dataFormat.integer