LIXI Master Schema 2.2.9

    LIXI Standards Release
    Master Schema
    Version 2.2.9

Version Superseded

Please note that this version (Master 2.2.9) was superseded on 20th April 2018 by version Master 2.2.10.
The latest version of all LIXI Standards are always available here.

23rd February 2018

Non-breaking update to LIXI Master Schema 2.2.8 (released 2nd February 2018).

Documentation (Members & Licensees Only)

  • LIXI Master 2.2.9 schema documentation

  • Change List

    Includes support for:

    • 'Age At End Of Loan' given during need analysis interview
    • 'Increase Total Loan Amount Details' given during needs analysis interview
    • 'Regular' to indicate whether a repayment is regular or structured
    • 'Cuscal' new option in financial institution list
    • 'x_FinancialProduct' a cross reference to a financial product related to a settlement condition
    • 'Loan Payment Schedule Type' for continuing repayments on a liability
    • 'Total Interest Payable' over the term of the loan
    • 'x_FinancialProduct' a cross reference to a financial product related to an application condition
    • 'x_ProductSet' a cross reference a product set that relates to a fee
    • 'M Capitol' added to Financial Institution List
    • 'Registered Proprietor' name details on the title of a real estate asset
    • 'Encumbrance' details for a real estate asset
    • 'Bendigo Bank' new option in funder list
    • 'Income Type List' options for 'Superannuation' and 'Private Pension'
    • 'Applicable Duration' the length of time that a fee is applicable
    • 'Is Estimated' to indicate a fee is estimated
    • 'Product Set' to define a set of products within an application
    • 'Security Agreement' for a loan, liability, or lending guarantee
    • 'Condition Type' information for a loan condition
    • 'Age Pension' in government benefits type list
    • 'Applicant Type' for trust applicant in CAL, CDA, DAS
    • 'Signature' details for an application
    • 'Fee Type List' new fee types
    • 'ACN' Australian Company Number for business channel
    • 'Deliver To' address in documentation instructions
    • 'Other Add Back' to incomes in CDA
    • 'Borrower and Guarantor' in applicant type list
    • 'Lending Purpose' for a liability
    • 'Limited To Facility Amount' flag for a lending guarantee
    • 'Loan Payment Schedule Type' for repayments on a liability and loan details
    • 'Percentage' to capture a fee as a percentage
    • 'Primary Applicant' flag for trust applicants
    • 'ARBN' and 'ARSN' for company applicants
    • 'Temporary Visa Expiry Date' for person applicant
    • 'Maturity Date' for loan details and liabilities
    • 'Features Selected' for a liability
    • 'Discount Margin' in Liability
    • 'Rate Composition' new components in loan details and liability
    • 'Software' used to originate a loan or liability
    • 'Account Number' in loan details
    • 'Indicatively Approved' added to status name application instructions list
    • 'Term Premium' new glossary term
    • 'Security Agreement' new glossary term

    For full details, review the release notes within the schema documentation.

    Statement of Proprietary Information
    This standard is confidential to LIXI Limited and may not be disclosed, duplicated, or used, for any purpose, in whole or in part, without the prior consent of LIXI Limited. Both the XML Schema Definition files and associated documentation are licensed under the LIXI End User Licence Agreement (EULA) that can be found here: LIXI-End-User-Licence-Agreement. An introduction to this EULA is available here: Introduction to EULA 2013 10 V.2.pdf .

    Updated: 23nd February 2018