| CurrencyIsoCode |
- Type
- picklist
- Properties
- Create, Defaulted on create, Filter, Group, Nillable, Restricted
picklist, Sort, Update
- Description
- The three-letter ISO 4217 currency code associated with the refund
line payment when multiple currencies are enabled.
|
| LastActivityDate |
- Type
- date
- Properties
- Filter, Group, Nillable, Sort
- Description
- The timestamp of when a user had last associated a task or event
action with the account.
|
| Name |
- Type
- string
- Properties
- Autonumber, Defaulted on create, Filter, idLookup, Sort
- Description
- Required. The name of the refund line payment.
|
| blng__Amount__c |
- Type
- currency
- Properties
- Create, Filter, Sort, Update
- Description
- Required. The total amount applied to or unapplied from a payment
by the refund line.
|
| blng__BaseCurrencyAmount__c |
- Type
- currency
- Properties
- Create, Filter, Nillable, Sort, Update
- Description
- The amount of the refund line payment in the base currency of the
organization. This value is used to standardize the amount across
different currencies.
|
| blng__BaseCurrencyFXDate__c |
- Type
- date
- Properties
- Create, Filter, Group, Nillable, Sort, Update
- Description
- The date on which the foreign exchange rate is applied to convert
the amount into the base currency.
|
| blng__BaseCurrencyFXRate__c |
- Type
- double
- Properties
- Create, Filter, Nillable, Sort, Update
- Description
- The foreign exchange rate used to convert an amount from a foreign
currency to the base currency.
|
| blng__BaseCurrency__c |
- Type
- string
- Properties
- Create, Filter, Group, Nillable, Sort, Update
- Description
- The primary currency in which the financial transactions are
recorded and reported.
|
| blng__BillingFinanceBook__c |
- Type
- reference
- Properties
- Create, Filter, Group, Nillable, Sort, Update
- Description
- A set of financial records for reporting and accounting
purposes.
- This field is a relationship field.
- Relationship Name
- blng__BillingFinanceBook__r
- Refers To
- blng__FinanceBook__c
|
| blng__BillingFinancePeriod__c |
- Type
- reference
- Properties
- Create, Filter, Group, Nillable, Sort, Update
- Description
- A specific time frame for financial reporting and accounting
purposes.
- This field is a relationship field.
- Relationship Name
- blng__BillingFinancePeriod__r
- Refers To
- blng__FinancePeriod__c
|
| blng__GLRule__c |
- Type
- reference
- Properties
- Create, Filter, Group, Nillable, Sort, Update
- Description
- The accounting treatment for financial transactions, including
which general ledger accounts to debit and credit.
- This field is a relationship field.
- Relationship Name
- blng__GLRule__r
- Refers To
- blng__GLRule__c
|
| blng__GLTreatment__c |
- Type
- reference
- Properties
- Create, Filter, Group, Nillable, Sort, Update
- Description
- The general ledger treatment defines how a financial transaction
is recorded in the general ledger, specifying the accounts and the
nature of the entries.
- This field is a relationship field.
- Relationship Name
- blng__GLTreatment__r
- Refers To
- blng__GLTreatment__c
|
| blng__ImpactAmount__c |
- Type
- currency
- Properties
- Filter, Nillable, Sort
- Description
- Specifies how the payment refund line impacts a customer’s
accounts receivable.
- This field is a calculated field.
|
| blng__LegalEntity__c |
- Type
- reference
- Properties
- Create, Filter, Group, Nillable, Sort, Update
- Description
- The legal entity used to associate the revenue line payment with
other transactional records in Salesforce Billing.
- This field is a relationship field.
- Relationship Name
- blng__LegalEntity__r
- Refers To
- blng__LegalEntity__c
|
| blng__Notes__c |
- Type
- textarea
- Properties
- Create, Nillable, Update
- Description
- Additional details or comments related to the refund line
payment.
|
| blng__PaymentMode__c |
- Type
- picklist
- Properties
- Create, Filter, Group, Nillable, Restricted picklist, Sort,
Update
- Description
- The method of payment used for a refund line payment.
- Valid values are:
|
| blng__Payment__c |
- Type
- reference
- Properties
- Create, Filter, Group, Sort
- Description
- Required. The payment record that the refund line targets. Refund
applications and unapplications are made against the payment
record.
- This field is a relationship field.
- Relationship Name
- blng__Payment__r
- Relationship Type
- Master-detail
- Refers To
- blng__Payment__c (the detail object)
|
| blng__RefundLineDate__c |
- Type
- date
- Properties
- Create, Filter, Group, Sort, Update
- Description
- Required. The date associated with a refund line payment.
|
| blng__Refund__c |
- Type
- reference
- Properties
- Create, Filter, Group, Sort
- Description
- Required. The parent refund of the refund line payment. This field
is a relationship field.
- Relationship Name
- blng__Refund__r
- Relationship Type
- Master-detail
- Refers To
- blng__Refund__c (the master object)
|
| blng__Status__c |
- Type
- picklist
- Properties
- Create, Defaulted on create, Filter, Group, Nillable, Restricted
picklist, Sort, Update
- Description
- The state of the refund line payment. Valid values are:
- The default value is Draft.
|
| blng__Type__c |
- Type
- picklist
- Properties
- Create, Filter, Group, Nillable, Restricted picklist, Sort,
Update
- Description
- The type of refund line.
- Valid values are:
|
| blng__Unallocated__c |
- Type
- boolean
- Properties
- Create, Defaulted on create, Filter, Group, Sort, Update
- Description
- Required. The amount of the refund that remains unallocated. This
field indicates how much of the refund is still available to be
applied to other payments. The default value is false.
|