Allocate Product to Account
Enables you to assign a recurring product/service fee to a group of sub-accounts. This ensures automatic billing for these services across those accounts.
The information you need to build the CSV is provided in this table:
| Operation | Attach SIM to a Sell Plan. |
|---|---|
| Required UUIDs |
|
| Column Order | Sub Account UUID, Product UUID, |
NOTE: Following this operation, the CMP creates a new SIM Plan UUID for the plan instance created for the SIM. Here is a an example: cb771401-5410-4d84-a6eb-555555555555
INSTRUCTIONS: To do a batch operation refer to Upload and Execute Batch File