BankAcct | Details of a bank account.Customer bank account definition. |
Cash | Used to indicate payment in cash. |
DirectBill | Details of a direct billing arrangement.Company name and location for sending invoice for remittances for travel services. |
LoyaltyRedemption | Details of a loyalty redemption arrangement. This is normally miles or points. |
MiscChargeOrder | Details of a miscellaneous charge order (MCO). |
PaymentCard | Details of a debit or credit card.Specific payment card information. |
Ticket | Details of a ticket to be exchanged. |
TPA_Extensions | A placeholder in the schema to allow for additional elements and attributes to be included per Trading Partner Agreement (TPA).Allows extensions to be added to the OpenTravel specification per trading partner agreement. |
Voucher | Details of a paper or electronic document indicating prepayment. |
CostCenterID | A reference to identify the billing department for allocating cost of travel to company account. |
GuaranteeID | Provides the identifier as specified by the GuaranteeTypeCode (e.g., Corporate ID or IATA number). |
GuaranteeIndicator | When true, indicates this represents a guarantee rather than a payment form. |
GuaranteeTypeCode | Used to specify the method of guarantee. Refer to OpenTravel Code List Payment Type (PMT). |
PaymentTransactionTypeCode | This is used to indicate either a charge, reserve (deposit) or refund. |
Remark | A remark associated with the payment form. |
RPH | Provides a reference to a specific form of payment. |
ShareMarketInd | Permission for sharing data for marketing purposes. If the value=Inherit, specifies data sharing permissions for marketing purposes. |
ShareSynchInd | Permission for sharing data for synchronization of information held by other travel service providers. If the value=Inherit, specifies data sharing permissions for synchronization of information held by other travel service providers. |