Package: BILLING_CONFIG

Name

BILLING_CONFIG

Comment

Configuration data for the Billing Process


List of tables

Name

Comment

BILLINGCALENDAR

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.

GST_BAS_CLASS

GST_BAS_CLASS contains a static list of BAS (Business Activity Statement) classifications supported by the MMS.

GST_RATE

GST_RATE maintains the GST rates on a BAS (Business Activity Statement) class basis.

GST_TRANSACTION_CLASS

GST_TRANSACTION_CLASS maps NEM settlement transaction types with BAS (Business Activity Statement) classifications.

GST_TRANSACTION_TYPE

GST_TRANSACTION_TYPE shows a static list of transaction types supported by the MMS.

SECDEPOSIT_INTEREST_RATE

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

SECDEPOSIT_PROVISION

The security deposit provision entry details


Diagram: Entities: Billing Config

Table: GST_BAS_CLASS Table: GST_RATE Table: BILLINGCALENDAR Table: GST_TRANSACTION_TYPE Table: SECDEPOSIT_PROVISION Table: SECDEPOSIT_INTEREST_RATE Table: GST_TRANSACTION_CLASS
Entities: Billing Config