D74U0220 - Get Bank Rate Details - 15
| Parameter Name | Data Item | Data Type | Req/Opt | I/O/Both |
|---|---|---|---|---|
| szEPMBankCode | 74UBKCD | char | REQ | INPUT |
A value that indicates the bank to be used for interest charges. The base rates for the bank codes are assigned using the Bank Base Rate
| ||||
| jdRequiredDate | 74UEFTB | JDEDATE | REQ | INPUT |
A date used to indicate the effective from date of an event or series of transactions. | ||||
| mnEPMInterest_Rate | 74UINTR | MATH_NUMERIC | OPT | OUTPUT |
A value that defines the annual base interest rate associated with a bank code. This is stored as a decimal fraction, for example, 5% is
| ||||
| jdEPMDateBeginningEffective_2 | 74UEFTB | JDEDATE | OPT | OUTPUT |
A date used to indicate the effective from date of an event or series of transactions. | ||||
| jdEPMDateEndingEffective | 74UEFTE | JDEDATE | OPT | OUTPUT |
A date used to indicate the ending date of an event or series of transactions. | ||||
| szEPMBankName | 74UIBNO | char | OPT | OUTPUT |
A description of the bank code. | ||||
| cReturnCode | EV01 | char | OPT | OUTPUT |
An option that specifies the type of processing for an event. | ||||
| None |
| None |