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/*
* Selling Partner API for Finances
*
* The Selling Partner API for Finances helps you obtain financial information relevant to a seller's business. You can obtain financial events for a given order, financial event group, or date range without having to wait until a statement period closes. You can also obtain financial event groups for a given date range.
*
* The version of the OpenAPI document: v0
*
* Generated by: https://openapi-generator.tech
*/
use crate::models;
use serde::{Deserialize, Serialize};
/// DebtRecoveryItem : An item of a debt payment or debt adjustment.
#[derive(Clone, Default, Debug, PartialEq, Serialize, Deserialize)]
pub struct DebtRecoveryItem {
#[serde(rename = "RecoveryAmount", skip_serializing_if = "Option::is_none")]
pub recovery_amount: Option<Box<models::finances_v0::Currency>>,
#[serde(rename = "OriginalAmount", skip_serializing_if = "Option::is_none")]
pub original_amount: Option<Box<models::finances_v0::Currency>>,
/// Fields with a schema type of date are in ISO 8601 date time format (for example GroupBeginDate).
#[serde(rename = "GroupBeginDate", skip_serializing_if = "Option::is_none")]
pub group_begin_date: Option<String>,
/// Fields with a schema type of date are in ISO 8601 date time format (for example GroupBeginDate).
#[serde(rename = "GroupEndDate", skip_serializing_if = "Option::is_none")]
pub group_end_date: Option<String>,
}
impl DebtRecoveryItem {
/// An item of a debt payment or debt adjustment.
pub fn new() -> DebtRecoveryItem {
DebtRecoveryItem {
recovery_amount: None,
original_amount: None,
group_begin_date: None,
group_end_date: None,
}
}
}