Treasury :: Financial Management Service
Enterprise Data Architecture
Treasury Account Symbol Business Message

Business Message Listing
tas:TreasuryAccountSymbolRecord [1..unbounded]
fms:TreasuryAccountSymbol [0..1]
tas:OwningAgency [0..1]
tas:BusinessEventTypeRecords [0..1]

Element Information
Content ModelThe <tas:TreasuryAccountSymbolRecord> element contains 3 children elements 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 <tas:TreasuryAccountSymbolRecord> element has a particular order of elements that must be followed.
Attribute NameUseDataTypeDefinition
ID[0..1] String [0, 80]An identifier for the record. For a receiving system, this value can be used to reconcile updates to an existing record and qualify new records. For a sending system, this value can be used to reconcile acknowledgements for the submitted records.
AccountSymbolText[0..1] String [0, 36]Treasury Account Symbol (i.e., "string TAS")
AccountSymbolName[0..1] String [0, 240]The full name of the TAS.
AccountSymbolStartDate[0..1] YYYY-MM-DDThe date the TAS was created.
AccountSymbolEndDate[0..1] YYYY-MM-DDThe date the TAS was inactivated.
IsValidAccountSymbol[0..1] 1|0Indicates whether or not a Treasury Account is considered valid by SAM. Valid accounts are active and pass all classification rules.
AccountSymbolEvaluatedDate[0..1] YYYY-MM-DDDenotes the date on which the IsValidAccountSymbol value last changed.

For help, please contact the Treasury FMS Enterprise Data Architecture team.
Last Updated: 2011-06-22T14:05:29.592-04:00
This web site is informative only and may contain publishing errors/inconsistencies - please carefully review the appropriate XML Schema documents in the Download section.