Treasury :: Financial Management Service
Enterprise Data Architecture
Account Services Report Business Message


Business Message Listing
asap:AccountServicesReport
asap:AgencyAccountInfoReport
asap:AgencyAccountInfo
asap:AccountInformation
asap:AccountControl [0..1]
asap:PeriodCumulativeResetPeriod [0..1]

Element Information
Nameasap:AccountControl
DefinitionContainer for Account privileges.
Namespaceurn:us:gov:treas:fms:Payment:AccountAuthorization:1.0
Cardinality[0..1]
Content ModelThe <asap:AccountControl> element contains 1 child element and has a sequence content model. The sequence content model means that there is a particular order to the children elements of the parent element - in this case, the <asap:AcctCtrl> element has a particular order of elements that must be followed.
Description
Attribute NameUseDataTypeDefinition
CMIA_Indicator[1..1] 1|0Indicates whether the Cash Management Improvement Act is applied to this account. A value of '1' would mean that it is a 'CMIA'. A value of '0' would mean that it is not CMIA.
BookEntryAdjustmentIndicator[1..1] 1|0Indicates if the agency allows the recipient to perform book-entry adjustments against the account. A value of '1' would mean that the agency allows the recipient to perform book-entry adjustments. A value of '0' would mean that the agency does not allow the recipient to perform book-entry adjustments.
WarehouseIndicator[1..1] 1|0Indicates if future-dated payments are allowed against this account. A value of '1' would mean that future-dated payments are allowed against this account. A value of '0' would mean that future-dated payments are not allowed on this account.


For help, please contact the Treasury FMS Enterprise Data Architecture team.
Last Updated: 2011-07-09T21:02:22.145-04:00
This web site is informative only and may contain publishing errors/inconsistencies - please carefully review the appropriate XML Schema documents in the Download section.