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Configuration data for the Billing Process |
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BILLINGCALENDAR sets out the billing calendar for the year, with week number 1 starting on 1 January. BILLINGCALENDAR advises preliminary and final statement posting date and corresponding settlement for each billing week. |
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GST_BAS_CLASS contains a static list of BAS (Business Activity Statement) classifications supported by the MMS. |
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GST_RATE maintains the GST rates on a BAS (Business Activity Statement) class basis. |
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GST_TRANSACTION_CLASS maps NEM settlement transaction types with BAS (Business Activity Statement) classifications. |
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GST_TRANSACTION_TYPE shows a static list of transaction types supported by the MMS. |
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The security deposit interest rate on a daily basis. This is the public table published when the business enter and authorise a new daily interest rate |
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The security deposit provision entry details |
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