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Debtor Assets Table

The Debtor Assets table contains customer assets for accounts. Each account can have multiple asset records. To ensure that Exchange locates the correct customer on the account, you must map the customer field that you specified as unique criteria in the Unique Debtor Criteria section of the General tab. For more information, see Specify Unique Customer Criteria.

Field Name

Description

Length

Data Type

Parent Table and Field

Import Types

AccountID

Code that Latitude assigns to identify the account. Don't map this field.

4

Integer

Master/Number

NB

DebtorID

Code that Latitude assigns to identify the customer on the account. If you selected "Debtor ID" as the unique customer criteria, you must map this field.

4

Integer

Debtors/DebtorID

NB

Name

Customer name in "lastname, firstname MI suffix" format. If you selected "Name" as the unique customer criteria, you must map this field.

50

VarChar

Debtors/Name

NB

AssetType

Code that identifies the type of asset. You must have already created this code in Latitude.

1

TinyInt

None

NB

Description

Description of the asset.

4000

VarChar

None

NB

CurrentValue

Current value of the asset.

8

Money

None

NB

LienAmount

Amount held against the asset.

8

Money

None

NB

ValueVerified

Flag that indicates whether an agent verified the asset's value.

1 = Yes

0 = No

1

Bit

None

NB

LienVerified

Flag that indicates whether an agent verified the lien amount.

1 = Yes

0 = No

1

Bit

None

NB

Related Topics

Destination Fields