Entitlement Reconciliation Cycle Accounts

The EntitlementReconciliationCycleAccount table in the Entitlement package stores the details of entitlement reconciliation cycle accounts created by system administrators. A reconciliation cycle account is used to define a set of rules to reconcile the data received from multiple sources. This table helps to store account-specific configuration details such as contact preferences, account ID, account name, and cycle period. All these details can be used to accurately track entitlement data across the system.

Recent Requests
Log in to see full request history
TimeStatusUser Agent
Retrieving recent requests…
LoadingLoading…
Query Params
uuid
Response
200

OK

Language
URL
LoadingLoading…
Response
Click Try It! to start a request and see the response here!