Returns the Term Cycle's description adjusted for the current Maturity Date.

For a Quote this value is not set until AFTER a Calculation has taken place as it relies upon the Maturity Date.

Syntax

finAccountCalc.TermCycleDescriptionResolved

Return Value

String
Member of:
finAccountCalc
Namespace:
Intersoft.finSupport6
Assembly:
finSupport6, Version=6.0.3
Target Framework:
.NET 9.0