This process manages the balance containers assigned to a Product and is used to keep track of usage events, providing input for decision making processes (such as product usage authorization) by means of the balance policies. <br/><br/>The containers include monetary and non-monetary balances (or shared) and are used as prepaid balances (enabling real-time product usage authorization), postpaid balances (in conjunction with an Account-Receivables [AR] application). Examples of non-monetary balances and allowances are: free minutes, WAP-only quota, etc.<br/>
Hold and maintain the different Product balances that a customer and/or a subscriber may have.
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HierarchyLevel
3
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Description: the level of this object in the hierarchy (1-x integer)
Issue
Business Process Framework 15.0 Modification Business Process Framework 15.5 Modification Business Process Framework 20.0 Modification Business Process Framework 20.5 Modification
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Maturity
4
Details:
Description: the maturity level of this element (1-x integer)
Original Process Identifier
1.1.1.15.1
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Process Identifier
1.2.18.1
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TMFStatus
Released
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Values: Released,Preliminary,Draft,Not Fully Developed,likelyToChange,likelyToBeDeprecated Description: the TM Forum status