cac:BonusPaymentTerms
Element information
Namespace: urn:oasis:names:specification:ubl:schema:xsd:CommonAggregateComponents-2
Schema document: common/UBL-CommonAggregateComponents-2.1.xsd
Type: cac:PaymentTermsType
Properties: Global, Qualified
Content
- Sequence [1..1]
- cbc:ID [0..1] An identifier for this set of payment terms.
- cbc:PaymentMeansID [0..*] An identifier for a means of payment associated with these payment terms.
- cbc:PrepaidPaymentReferenceID [0..1] An identifier for a reference to a prepaid payment.
- cbc:Note [0..*] Free-form text conveying information that is not contained explicitly in other structures.
- cbc:ReferenceEventCode [0..1] A code signifying the event during which these terms are offered.
- cbc:SettlementDiscountPercent [0..1] The percentage for the settlement discount that is offered for payment under these payment terms.
- cbc:PenaltySurchargePercent [0..1] The penalty for payment after the settlement period, expressed as a percentage of the payment.
- cbc:PaymentPercent [0..1] The part of a payment, expressed as a percent, relevant for these payment terms.
- cbc:Amount [0..1] The monetary amount covered by these payment terms.
- cbc:SettlementDiscountAmount [0..1] The amount of a settlement discount offered for payment under these payment terms.
- cbc:PenaltyAmount [0..1] The monetary amount of the penalty for payment after the settlement period.
- cbc:PaymentTermsDetailsURI [0..1] The Uniform Resource Identifier (URI) of a document providing additional details regarding these payment terms.
- cbc:PaymentDueDate [0..1] The due date for these payment terms.
- cbc:InstallmentDueDate [0..1] The due date for an installment payment for these payment terms.
- cbc:InvoicingPartyReference [0..1] A reference to the payment terms used by the invoicing party. This may have been requested of the payer by the payee to accompany its remittance.
- cac:SettlementPeriod [0..1] The period during which settlement may occur.
- cac:PenaltyPeriod [0..1] The period during which penalties may apply.
- cac:ExchangeRate [0..1] The currency exchange rate for purposes of these payment terms.
- cac:ValidityPeriod [0..1] The period during which these payment terms are valid.
Attributes
None
Used in
- Type cac:TransportExecutionTermsType (Element cac:TransportExecutionTerms)
Sample instance
<cac:BonusPaymentTerms> <cbc:ID>normalizedString</cbc:ID> <cbc:PaymentMeansID>normalizedString</cbc:PaymentMeansID> <cbc:PrepaidPaymentReferenceID>normalizedString</cbc:PrepaidPaymentReferenceID> <cbc:Note>string</cbc:Note> <cbc:ReferenceEventCode>normalizedString</cbc:ReferenceEventCode> <cbc:SettlementDiscountPercent>1.0</cbc:SettlementDiscountPercent> <cbc:PenaltySurchargePercent>1.0</cbc:PenaltySurchargePercent> <cbc:PaymentPercent>1.0</cbc:PaymentPercent> <cbc:Amount currencyID="normalizedString">1.0</cbc:Amount> <cbc:SettlementDiscountAmount currencyID="normalizedString">1.0</cbc:SettlementDiscountAmount> <cbc:PenaltyAmount currencyID="normalizedString">1.0</cbc:PenaltyAmount> <cbc:PaymentTermsDetailsURI>normalizedString</cbc:PaymentTermsDetailsURI> <cbc:PaymentDueDate>2000-01-01</cbc:PaymentDueDate> <cbc:InstallmentDueDate>2000-01-01</cbc:InstallmentDueDate> <cbc:InvoicingPartyReference>string</cbc:InvoicingPartyReference> <cac:SettlementPeriod> <cbc:StartDate>2000-01-01</cbc:StartDate> <cbc:StartTime>12:00:00</cbc:StartTime> <cbc:EndDate>2000-01-01</cbc:EndDate> <cbc:EndTime>12:00:00</cbc:EndTime> <cbc:DurationMeasure unitCode="normalizedString">1.0</cbc:DurationMeasure> <cbc:DescriptionCode>normalizedString</cbc:DescriptionCode> <cbc:Description>string</cbc:Description> </cac:SettlementPeriod> <cac:PenaltyPeriod> <cbc:StartDate>2000-01-01</cbc:StartDate> <cbc:StartTime>12:00:00</cbc:StartTime> <cbc:EndDate>2000-01-01</cbc:EndDate> <cbc:EndTime>12:00:00</cbc:EndTime> <cbc:DurationMeasure unitCode="normalizedString">1.0</cbc:DurationMeasure> <cbc:DescriptionCode>normalizedString</cbc:DescriptionCode> <cbc:Description>string</cbc:Description> </cac:PenaltyPeriod> <cac:ExchangeRate> <cbc:SourceCurrencyCode>normalizedString</cbc:SourceCurrencyCode> <cbc:SourceCurrencyBaseRate>1.0</cbc:SourceCurrencyBaseRate> <cbc:TargetCurrencyCode>normalizedString</cbc:TargetCurrencyCode> <cbc:TargetCurrencyBaseRate>1.0</cbc:TargetCurrencyBaseRate> <cbc:ExchangeMarketID>normalizedString</cbc:ExchangeMarketID> <cbc:CalculationRate>1.0</cbc:CalculationRate> <cbc:MathematicOperatorCode>normalizedString</cbc:MathematicOperatorCode> <cbc:Date>2000-01-01</cbc:Date> <cac:ForeignExchangeContract> <cbc:ID>normalizedString</cbc:ID> <cbc:IssueDate>2000-01-01</cbc:IssueDate> <cbc:IssueTime>12:00:00</cbc:IssueTime> <cbc:NominationDate>2000-01-01</cbc:NominationDate> <cbc:NominationTime>12:00:00</cbc:NominationTime> <cbc:ContractTypeCode>normalizedString</cbc:ContractTypeCode> <cbc:ContractType>string</cbc:ContractType> <cbc:Note>string</cbc:Note> <cbc:VersionID>normalizedString</cbc:VersionID> <cbc:Description>string</cbc:Description> <cac:ValidityPeriod>... </cac:ValidityPeriod> <cac:ContractDocumentReference>... </cac:ContractDocumentReference> <cac:NominationPeriod>... </cac:NominationPeriod> <cac:ContractualDelivery>... </cac:ContractualDelivery> </cac:ForeignExchangeContract> </cac:ExchangeRate> <cac:ValidityPeriod> <cbc:StartDate>2000-01-01</cbc:StartDate> <cbc:StartTime>12:00:00</cbc:StartTime> <cbc:EndDate>2000-01-01</cbc:EndDate> <cbc:EndTime>12:00:00</cbc:EndTime> <cbc:DurationMeasure unitCode="normalizedString">1.0</cbc:DurationMeasure> <cbc:DescriptionCode>normalizedString</cbc:DescriptionCode> <cbc:Description>string</cbc:Description> </cac:ValidityPeriod> </cac:BonusPaymentTerms>