Savingsproductapiv1
Description for accountingMethod in SavingsProductApiV1
Possible values: [NONE, CASH, ACCRUAL]
Description for activated in SavingsProductApiV1
Description for allowArbitraryFees in SavingsProductApiV1
Description for allowOffset in SavingsProductApiV1
Description for allowOverdraft in SavingsProductApiV1
Description for allowTechnicalOverdraft in SavingsProductApiV1
availableProductBranches object[]
Description for availableProductBranches in SavingsProductApiV1
Description for branchKey in SavingsProductBranchApiV1
Description for encodedKey in SavingsProductBranchApiV1
product object
Description for product in SavingsProductBranchApiV1
Description for collectInterestWhenLocked in SavingsProductApiV1
Description for creationDate in SavingsProductApiV1
currencies object[]
Description for currencies in SavingsProductApiV1
Description for code in CurrencyApiV1
Description for creationDate in CurrencyApiV1
Description for currencySymbolPosition in CurrencyApiV1
Possible values: [AFTER_NUMBER, BEFORE_NUMBER]
Description for digitsAfterDecimal in CurrencyApiV1
Description for isBaseCurrency in CurrencyApiV1
Description for lastModifiedDate in CurrencyApiV1
Description for name in CurrencyApiV1
Description for symbol in CurrencyApiV1
Description for defaultMaturityPeriod in SavingsProductApiV1
Description for defaultOpeningBalance in SavingsProductApiV1
Description for description in SavingsProductApiV1
Description for dormancyPeriodDays in SavingsProductApiV1
Description for encodedKey in SavingsProductApiV1
Description for forAllBranches in SavingsProductApiV1
Description for forGroups in SavingsProductApiV1
Description for forIndividuals in SavingsProductApiV1
Description for id in SavingsProductApiV1
Description for idGeneratorType in SavingsProductApiV1
Possible values: [INCREMENTAL_NUMBER, RANDOM_PATTERN]
Description for idPattern in SavingsProductApiV1
Description for interestAccruedAccountingMethod in SavingsProductApiV1
Possible values: [DAILY, END_OF_MONTH, NONE]
Description for interestCalculationBalance in SavingsProductApiV1
Possible values: [MINIMUM, END_OF_DAY, AVERAGE]
Description for interestDaysInYear in SavingsProductApiV1
Possible values: [E30_42_365, ACTUAL_365_FIXED, ACTUAL_360, E30_360, ACTUAL_364, ACTUAL_ACTUAL_ISDA]
Description for interestPaidIntoAccount in SavingsProductApiV1
interestPaymentDates object[]
Description for interestPaymentDates in SavingsProductApiV1
Description for dayOfMonth in DateDTOApiV1
Description for monthOfYear in DateDTOApiV1
Description for year in DateDTOApiV1
Description for interestPaymentPoint in SavingsProductApiV1
Possible values: [EVERY_WEEK, ON_FIXED_DATES, EVERY_MONTH, ON_ACCOUNT_MATURITY, EVERY_3_MONTHS, FIRST_DAY_OF_MONTH, EVERY_OTHER_WEEK]
interestRateSettings object
Description for interestRateSettings in SavingsProductApiV1
Description for accrueInterestAfterMaturity in InterestProductSettingsApiV1
Description for defaultInterestRate in InterestProductSettingsApiV1
Description for encodedKey in InterestProductSettingsApiV1
Description for indexSourceKey in InterestProductSettingsApiV1
Description for interestChargeFrequency in InterestProductSettingsApiV1
Possible values: [EVERY_WEEK, ANNUALIZED, EVERY_MONTH, EVERY_X_DAYS, EVERY_FOUR_WEEKS, EVERY_DAY]
Description for interestChargeFrequencyCount in InterestProductSettingsApiV1
Description for interestRateCeilingValue in InterestProductSettingsApiV1
Description for interestRateFloorValue in InterestProductSettingsApiV1
Description for interestRateReviewCount in InterestProductSettingsApiV1
Description for interestRateReviewUnit in InterestProductSettingsApiV1
Possible values: [MONTHS, WEEKS, DAYS]
Description for interestRateSource in InterestProductSettingsApiV1
Possible values: [FIXED_INTEREST_RATE, INDEX_INTEREST_RATE]
Description for interestRateTerms in InterestProductSettingsApiV1
Possible values: [TIERED_PERIOD, FIXED, TIERED]
interestRateTiers object[]
Description for interestRateTiers in InterestProductSettingsApiV1
Description for encodedKey in InterestRateTierApiV1
Description for endingBalance in InterestRateTierApiV1
Description for endingDay in InterestRateTierApiV1
Description for index in InterestRateTierApiV1
Description for interestRate in InterestRateTierApiV1
Description for maxInterestRate in InterestProductSettingsApiV1
Description for minInterestRate in InterestProductSettingsApiV1
Description for lastModifiedDate in SavingsProductApiV1
Description for lineOfCreditRequirement in SavingsProductApiV1
Possible values: [OPTIONAL, NOT_REQUIRED, REQUIRED]
Description for maturityPeriodUnit in SavingsProductApiV1
Possible values: [MONTHS, WEEKS, DAYS]
Description for maxMaturityPeriod in SavingsProductApiV1
Description for maxOpeningBalance in SavingsProductApiV1
Description for maxOverdraftLimit in SavingsProductApiV1
Description for maxWidthdrawlAmount in SavingsProductApiV1
Description for maximumBalance in SavingsProductApiV1
Description for minMaturityPeriod in SavingsProductApiV1
Description for minOpeningBalance in SavingsProductApiV1
Description for name in SavingsProductApiV1
Description for overdraftDaysInYear in SavingsProductApiV1
Possible values: [E30_42_365, ACTUAL_365_FIXED, ACTUAL_360, E30_360, ACTUAL_364, ACTUAL_ACTUAL_ISDA]
Description for overdraftInterestCalculationBalance in SavingsProductApiV1
Possible values: [MINIMUM, END_OF_DAY, AVERAGE]
overdraftInterestRateSettings object
Description for overdraftInterestRateSettings in SavingsProductApiV1
Description for accrueInterestAfterMaturity in InterestProductSettingsApiV1
Description for defaultInterestRate in InterestProductSettingsApiV1
Description for encodedKey in InterestProductSettingsApiV1
Description for indexSourceKey in InterestProductSettingsApiV1
Description for interestChargeFrequency in InterestProductSettingsApiV1
Possible values: [EVERY_WEEK, ANNUALIZED, EVERY_MONTH, EVERY_X_DAYS, EVERY_FOUR_WEEKS, EVERY_DAY]
Description for interestChargeFrequencyCount in InterestProductSettingsApiV1
Description for interestRateCeilingValue in InterestProductSettingsApiV1
Description for interestRateFloorValue in InterestProductSettingsApiV1
Description for interestRateReviewCount in InterestProductSettingsApiV1
Description for interestRateReviewUnit in InterestProductSettingsApiV1
Possible values: [MONTHS, WEEKS, DAYS]
Description for interestRateSource in InterestProductSettingsApiV1
Possible values: [FIXED_INTEREST_RATE, INDEX_INTEREST_RATE]
Description for interestRateTerms in InterestProductSettingsApiV1
Possible values: [TIERED_PERIOD, FIXED, TIERED]
interestRateTiers object[]
Description for interestRateTiers in InterestProductSettingsApiV1
Description for encodedKey in InterestRateTierApiV1
Description for endingBalance in InterestRateTierApiV1
Description for endingDay in InterestRateTierApiV1
Description for index in InterestRateTierApiV1
Description for interestRate in InterestRateTierApiV1
Description for maxInterestRate in InterestProductSettingsApiV1
Description for minInterestRate in InterestProductSettingsApiV1
Description for productType in SavingsProductApiV1
Possible values: [CURRENT_ACCOUNT, REGULAR_SAVINGS, FIXED_DEPOSIT, INVESTOR_ACCOUNT, SAVINGS_PLAN]
Description for recommendedDepositAmount in SavingsProductApiV1
savingsFees object[]
Description for savingsFees in SavingsProductApiV1
Description for active in PredefinedFeeApiV1
amortizationIntervalSettings object
Description for amortizationIntervalSettings in PredefinedFeeApiV1
Description for encodedKey in PeriodIntervalSettingsApiV1
Description for frequency in PeriodIntervalSettingsApiV1
Possible values: [ACCOUNT_INSTALLMENTS_DUE_DATES_DAILY_BOOKING, ACCOUNT_INSTALLMENTS_DUE_DATES, CUSTOM_INTERVAL]
Description for intervalCount in PeriodIntervalSettingsApiV1
Description for intervalType in PeriodIntervalSettingsApiV1
Possible values: [FULL_TERM, PREDEFINED_INTERVALS]
Description for periodCount in PeriodIntervalSettingsApiV1
Description for periodUnit in PeriodIntervalSettingsApiV1
Possible values: [MONTHS, YEARS, WEEKS, DAYS]
Description for amortizationProfile in PredefinedFeeApiV1
Possible values: [STRAIGHT_LINE, SUM_OF_YEARS_DIGITS, EFFECTIVE_INTEREST_RATE, NONE]
Description for amount in PredefinedFeeApiV1
Description for amountCalculationMethod in PredefinedFeeApiV1
Possible values: [LOAN_AMOUNT_PERCENTAGE, LOAN_AMOUNT_PERCENTAGE_NUMBER_OF_INSTALLMENTS, REPAYMENT_PRINCIPAL_AMOUNT_PERCENTAGE, FLAT_NUMBER_OF_INSTALLMENTS, FLAT]
Description for applyDateMethod in PredefinedFeeApiV1
Possible values: [MONTHLY_FROM_ACTIVATION, FIRST_OF_EVERY_MONTH]
Description for creationDate in PredefinedFeeApiV1
Description for encodedKey in PredefinedFeeApiV1
Description for feeAmortizationUponRescheduleOption in PredefinedFeeApiV1
Possible values: [CONTINUE_AMORTIZATION_ON_THE_RESCHEDULED_REFINANCED_ACCOUNT, END_AMORTIZATION_ON_THE_ORIGINAL_ACCOUNT]
Description for feeApplication in PredefinedFeeApiV1
Possible values: [OPTIONAL, REQUIRED]
feeProductRules object[]
Description for feeProductRules in PredefinedFeeApiV1
account object
Description for account in GLAccountingRuleApiV1
Description for activated in GLAccountApiV1
Description for allowManualJournalEntries in GLAccountApiV1
Description for balance in GLAccountApiV1
Description for creationDate in GLAccountApiV1
currency object
Description for currency in GLAccountApiV1
Description for code in CurrencyApiV1
Description for creationDate in CurrencyApiV1
Description for currencySymbolPosition in CurrencyApiV1
Possible values: [AFTER_NUMBER, BEFORE_NUMBER]
Description for digitsAfterDecimal in CurrencyApiV1
Description for isBaseCurrency in CurrencyApiV1
Description for lastModifiedDate in CurrencyApiV1
Description for name in CurrencyApiV1
Description for symbol in CurrencyApiV1
Description for description in GLAccountApiV1
Description for encodedKey in GLAccountApiV1
Description for glCode in GLAccountApiV1
Description for lastModifiedDate in GLAccountApiV1
migrationEvent object
Description for migrationEvent in GLAccountApiV1
Description for creationDate in DataMigrationEventApiV1
Description for encodedKey in DataMigrationEventApiV1
Description for numCentresImported in DataMigrationEventApiV1
Description for numClientsImported in DataMigrationEventApiV1
Description for numGLAccountsImported in DataMigrationEventApiV1
Description for numGroupsImported in DataMigrationEventApiV1
Description for numLoanRepaymentsImported in DataMigrationEventApiV1
Description for numLoanTransactionsImported in DataMigrationEventApiV1
Description for numLoansImported in DataMigrationEventApiV1
Description for numSavingsImported in DataMigrationEventApiV1
Description for state in DataMigrationEventApiV1
Possible values: [REVERTED, DRAFT, APPROVED]
Description for type in DataMigrationEventApiV1
Possible values: [IMPORT, EXPORT]
Description for name in GLAccountApiV1
Description for stripTrailingZeros in GLAccountApiV1
Description for type in GLAccountApiV1
Possible values: [INCOME, EXPENSE, LIABILITY, ASSET, EQUITY]
Description for usage in GLAccountApiV1
Possible values: [HEADER, DETAIL]
Description for encodedKey in GLAccountingRuleApiV1
Description for financialResource in GLAccountingRuleApiV1
Possible values: [FEE_RECEIVABLE, OVERDRAFT_INTEREST_INCOME, OVERDRAFT_INTEREST_RECEIVABLE, FEE_INCOME, INTEREST_PAYABLE, INTEREST_EXPENSE, PENALTY_RECEIVABLE, INTEREST_INCOME, DEFERRED_TAXES, DEFERRED_FEE_INCOME, PORTFOLIO_CONTROL, DEFERRED_INTERESTS_INCOME, OVERDRAFT_WRITE_OFF_EXPENSE, PENALTY_INCOME, OVERDRAFT_PORTFOLIO_CONTROL, SAVINGS_CONTROL, TAXES_RECEIVABLE, INTEREST_RECEIVABLE, INTER_BRANCH_TRANSFER, FUND_SOURCE, WRITE_OFF_EXPENSE, DEPOSIT_REFERENCE, TAXES_PAYABLE]
Description for index in GLAccountingRuleApiV1
Description for predefinedFeeKey in GLAccountingRuleApiV1
Description for productKey in GLAccountingRuleApiV1
Description for productType in GLAccountingRuleApiV1
Possible values: [LOAN, SAVINGS]
Description for transactionChannelKey in GLAccountingRuleApiV1
Description for name in PredefinedFeeApiV1
Description for percentageAmount in PredefinedFeeApiV1
Description for trigger in PredefinedFeeApiV1
Possible values: [DISBURSEMENT, ARBITRARY, CAPITALIZED_DISBURSEMENT, MONTHLY_FEE, UPFRONT_DISBURSEMENT, LATE_REPAYMENT, MANUAL, PAYMENT_DUE, PAYMENT_DUE_APPLIED_ON_DUE_DATES]
savingsProductRules object[]
Description for savingsProductRules in SavingsProductApiV1
account object
Description for account in GLAccountingRuleApiV1
Description for activated in GLAccountApiV1
Description for allowManualJournalEntries in GLAccountApiV1
Description for balance in GLAccountApiV1
Description for creationDate in GLAccountApiV1
currency object
Description for currency in GLAccountApiV1
Description for code in CurrencyApiV1
Description for creationDate in CurrencyApiV1
Description for currencySymbolPosition in CurrencyApiV1
Possible values: [AFTER_NUMBER, BEFORE_NUMBER]
Description for digitsAfterDecimal in CurrencyApiV1
Description for isBaseCurrency in CurrencyApiV1
Description for lastModifiedDate in CurrencyApiV1
Description for name in CurrencyApiV1
Description for symbol in CurrencyApiV1
Description for description in GLAccountApiV1
Description for encodedKey in GLAccountApiV1
Description for glCode in GLAccountApiV1
Description for lastModifiedDate in GLAccountApiV1
migrationEvent object
Description for migrationEvent in GLAccountApiV1
Description for creationDate in DataMigrationEventApiV1
Description for encodedKey in DataMigrationEventApiV1
Description for numCentresImported in DataMigrationEventApiV1
Description for numClientsImported in DataMigrationEventApiV1
Description for numGLAccountsImported in DataMigrationEventApiV1
Description for numGroupsImported in DataMigrationEventApiV1
Description for numLoanRepaymentsImported in DataMigrationEventApiV1
Description for numLoanTransactionsImported in DataMigrationEventApiV1
Description for numLoansImported in DataMigrationEventApiV1
Description for numSavingsImported in DataMigrationEventApiV1
Description for state in DataMigrationEventApiV1
Possible values: [REVERTED, DRAFT, APPROVED]
Description for type in DataMigrationEventApiV1
Possible values: [IMPORT, EXPORT]
Description for name in GLAccountApiV1
Description for stripTrailingZeros in GLAccountApiV1
Description for type in GLAccountApiV1
Possible values: [INCOME, EXPENSE, LIABILITY, ASSET, EQUITY]
Description for usage in GLAccountApiV1
Possible values: [HEADER, DETAIL]
Description for encodedKey in GLAccountingRuleApiV1
Description for financialResource in GLAccountingRuleApiV1
Possible values: [FEE_RECEIVABLE, OVERDRAFT_INTEREST_INCOME, OVERDRAFT_INTEREST_RECEIVABLE, FEE_INCOME, INTEREST_PAYABLE, INTEREST_EXPENSE, PENALTY_RECEIVABLE, INTEREST_INCOME, DEFERRED_TAXES, DEFERRED_FEE_INCOME, PORTFOLIO_CONTROL, DEFERRED_INTERESTS_INCOME, OVERDRAFT_WRITE_OFF_EXPENSE, PENALTY_INCOME, OVERDRAFT_PORTFOLIO_CONTROL, SAVINGS_CONTROL, TAXES_RECEIVABLE, INTEREST_RECEIVABLE, INTER_BRANCH_TRANSFER, FUND_SOURCE, WRITE_OFF_EXPENSE, DEPOSIT_REFERENCE, TAXES_PAYABLE]
Description for index in GLAccountingRuleApiV1
Description for predefinedFeeKey in GLAccountingRuleApiV1
Description for productKey in GLAccountingRuleApiV1
Description for productType in GLAccountingRuleApiV1
Possible values: [LOAN, SAVINGS]
Description for transactionChannelKey in GLAccountingRuleApiV1
templates object[]
Description for templates in SavingsProductApiV1
Description for creationDate in DocumentTemplateApiV1
Description for encodedKey in DocumentTemplateApiV1
Description for lastModifiedDate in DocumentTemplateApiV1
Description for name in DocumentTemplateApiV1
Description for type in DocumentTemplateApiV1
Possible values: [ACCOUNT, ACCOUNT_WITH_TRANSACTIONS, TRANSACTION]
Description for withholdingTaxEnabled in SavingsProductApiV1
{
"accountingMethod": "NONE",
"activated": true,
"allowArbitraryFees": true,
"allowOffset": true,
"allowOverdraft": true,
"allowTechnicalOverdraft": true,
"availableProductBranches": [
{
"branchKey": "string",
"encodedKey": "string",
"product": {}
}
],
"collectInterestWhenLocked": true,
"creationDate": "string",
"currencies": [
{
"code": "string",
"creationDate": "string",
"currencySymbolPosition": "AFTER_NUMBER",
"digitsAfterDecimal": 0,
"isBaseCurrency": true,
"lastModifiedDate": "string",
"name": "string",
"symbol": "string"
}
],
"defaultMaturityPeriod": 0,
"defaultOpeningBalance": 0,
"description": "string",
"dormancyPeriodDays": 0,
"encodedKey": "string",
"forAllBranches": true,
"forGroups": true,
"forIndividuals": true,
"id": "string",
"idGeneratorType": "INCREMENTAL_NUMBER",
"idPattern": "string",
"interestAccruedAccountingMethod": "DAILY",
"interestCalculationBalance": "MINIMUM",
"interestDaysInYear": "E30_42_365",
"interestPaidIntoAccount": true,
"interestPaymentDates": [
{
"dayOfMonth": 0,
"monthOfYear": 0,
"year": 0
}
],
"interestPaymentPoint": "EVERY_WEEK",
"interestRateSettings": {
"accrueInterestAfterMaturity": true,
"defaultInterestRate": 0,
"encodedKey": "string",
"indexSourceKey": "string",
"interestChargeFrequency": "EVERY_WEEK",
"interestChargeFrequencyCount": 0,
"interestRateCeilingValue": 0,
"interestRateFloorValue": 0,
"interestRateReviewCount": 0,
"interestRateReviewUnit": "MONTHS",
"interestRateSource": "FIXED_INTEREST_RATE",
"interestRateTerms": "TIERED_PERIOD",
"interestRateTiers": [
{
"encodedKey": "string",
"endingBalance": 0,
"endingDay": 0,
"index": 0,
"interestRate": 0
}
],
"maxInterestRate": 0,
"minInterestRate": 0
},
"lastModifiedDate": "string",
"lineOfCreditRequirement": "OPTIONAL",
"maturityPeriodUnit": "MONTHS",
"maxMaturityPeriod": 0,
"maxOpeningBalance": 0,
"maxOverdraftLimit": 0,
"maxWidthdrawlAmount": 0,
"maximumBalance": 0,
"minMaturityPeriod": 0,
"minOpeningBalance": 0,
"name": "string",
"overdraftDaysInYear": "E30_42_365",
"overdraftInterestCalculationBalance": "MINIMUM",
"overdraftInterestRateSettings": {
"accrueInterestAfterMaturity": true,
"defaultInterestRate": 0,
"encodedKey": "string",
"indexSourceKey": "string",
"interestChargeFrequency": "EVERY_WEEK",
"interestChargeFrequencyCount": 0,
"interestRateCeilingValue": 0,
"interestRateFloorValue": 0,
"interestRateReviewCount": 0,
"interestRateReviewUnit": "MONTHS",
"interestRateSource": "FIXED_INTEREST_RATE",
"interestRateTerms": "TIERED_PERIOD",
"interestRateTiers": [
{
"encodedKey": "string",
"endingBalance": 0,
"endingDay": 0,
"index": 0,
"interestRate": 0
}
],
"maxInterestRate": 0,
"minInterestRate": 0
},
"productType": "CURRENT_ACCOUNT",
"recommendedDepositAmount": 0,
"savingsFees": [
{
"active": true,
"amortizationIntervalSettings": {
"encodedKey": "string",
"frequency": "ACCOUNT_INSTALLMENTS_DUE_DATES_DAILY_BOOKING",
"intervalCount": 0,
"intervalType": "FULL_TERM",
"periodCount": 0,
"periodUnit": "MONTHS"
},
"amortizationProfile": "STRAIGHT_LINE",
"amount": 0,
"amountCalculationMethod": "LOAN_AMOUNT_PERCENTAGE",
"applyDateMethod": "MONTHLY_FROM_ACTIVATION",
"creationDate": "string",
"encodedKey": "string",
"feeAmortizationUponRescheduleOption": "CONTINUE_AMORTIZATION_ON_THE_RESCHEDULED_REFINANCED_ACCOUNT",
"feeApplication": "OPTIONAL",
"feeProductRules": [
{
"account": {
"activated": true,
"allowManualJournalEntries": true,
"balance": 0,
"creationDate": "string",
"currency": {
"code": "string",
"creationDate": "string",
"currencySymbolPosition": "AFTER_NUMBER",
"digitsAfterDecimal": 0,
"isBaseCurrency": true,
"lastModifiedDate": "string",
"name": "string",
"symbol": "string"
},
"description": "string",
"encodedKey": "string",
"glCode": "string",
"lastModifiedDate": "string",
"migrationEvent": {
"creationDate": "string",
"encodedKey": "string",
"numCentresImported": 0,
"numClientsImported": 0,
"numGLAccountsImported": 0,
"numGroupsImported": 0,
"numLoanRepaymentsImported": 0,
"numLoanTransactionsImported": 0,
"numLoansImported": 0,
"numSavingsImported": 0,
"state": "REVERTED",
"type": "IMPORT"
},
"name": "string",
"stripTrailingZeros": true,
"type": "INCOME",
"usage": "HEADER"
},
"encodedKey": "string",
"financialResource": "FEE_RECEIVABLE",
"index": 0,
"predefinedFeeKey": "string",
"productKey": "string",
"productType": "LOAN",
"transactionChannelKey": "string"
}
],
"name": "string",
"percentageAmount": 0,
"trigger": "DISBURSEMENT"
}
],
"savingsProductRules": [
{
"account": {
"activated": true,
"allowManualJournalEntries": true,
"balance": 0,
"creationDate": "string",
"currency": {
"code": "string",
"creationDate": "string",
"currencySymbolPosition": "AFTER_NUMBER",
"digitsAfterDecimal": 0,
"isBaseCurrency": true,
"lastModifiedDate": "string",
"name": "string",
"symbol": "string"
},
"description": "string",
"encodedKey": "string",
"glCode": "string",
"lastModifiedDate": "string",
"migrationEvent": {
"creationDate": "string",
"encodedKey": "string",
"numCentresImported": 0,
"numClientsImported": 0,
"numGLAccountsImported": 0,
"numGroupsImported": 0,
"numLoanRepaymentsImported": 0,
"numLoanTransactionsImported": 0,
"numLoansImported": 0,
"numSavingsImported": 0,
"state": "REVERTED",
"type": "IMPORT"
},
"name": "string",
"stripTrailingZeros": true,
"type": "INCOME",
"usage": "HEADER"
},
"encodedKey": "string",
"financialResource": "FEE_RECEIVABLE",
"index": 0,
"predefinedFeeKey": "string",
"productKey": "string",
"productType": "LOAN",
"transactionChannelKey": "string"
}
],
"templates": [
{
"creationDate": "string",
"encodedKey": "string",
"lastModifiedDate": "string",
"name": "string",
"type": "ACCOUNT"
}
],
"withholdingTaxEnabled": true
}