Types of Batch Operations
This section contains a description of the different batch operations for each category
SIM Operations
A description of the SIM batch operations is provided in this table.
| Operation | Description |
|---|---|
| Add Label to SIM | Adds a specified label to a group of SIMs. Labels are user-defined for easier organization and filtering of SIMs. |
| Remove Label from SIM | Removes a specified label from a group of SIMs. The label is user-defined for easier organization and filtering. |
| Set Alias to SIM | Sets or updates a user-friendly alias for a group of SIMs. This alias is used to make it easier to identify the SIMs within the floLIVE platform. |
| Set SIM Status | Change the status of SIMs in your account and sub-accounts. The SIM status can be ACTIVE or SUSPEND. |
| Reset SIM to Device | Resets the pairing between a group of SIMs and their devices, allowing them to be used in different devices (assuming Device Lock is enabled). |
| Move SIM to Parent Account | Moves SIMs from any of your sub-accounts (one level) back to your account in the same batch operation. |
| Move SIM to Sub-Account | Moves SIMs from the account you are logged into now to your sub-accounts (one level) |
| Set Steering for IMSI | Assigns a specific IMSI to a defined steering tree. This controls network routing for those SIMs. |
TIP: For SIM related batch operations you can export data to a CSV file directly from the SIMs table.
Billing Operations
A description of the billing batch operations is provided in this table.
| Operation | Description |
|---|---|
| Account Manual Adjustment | Enables a manual credit or debit adjustment to the overall account balance. |
| Subscriber Manual Adjustment | Enables a manual credit or debit adjustment to a specific subscribers associated with a select account. |
External Parameter Operations
A description of the external parameter batch operations is provided in this table.
| Operation | Description |
|---|---|
| Add External Parameters | Adds a value to a specific external parameter for an entity (Account, SIM, Plan). |
| Update External Parameters | Update External parameters value to an entity |
| Delete External Parameters | Removes a value from a specific external parameter for an entity (Account, SIM, Plan). |
Package Operations
A description of the package batch operations is provided in this table.
| Operation | Description |
|---|---|
| Attach SIMs to Package | Assigns a group of SIMs to a defined Sell Package. |
| Detach SIM from a Package | Removes a group of SIMs from a defined Sell Package. |
| Attach SIMs to Buy Package | Assigns a group of SIMs to a specific Buy Package. |
| Detach SIMs from Buy Package | Removes a group of SIMs from a specific Buy Package. |
Plan Operations
A description of the plan batch operations is provided in this table.
| Operation | Description |
|---|---|
| Attach SIM to Plan | Assigns a group of SIMs to a specific Sell Plan. |
| Detach SIM from Plan | Removes a group of SIMs from a specific Sell Plan. |
| Attach SIMs to Buy Plan | Assigns a group of SIMs to a specific Buy Plan. |
| Detach SIMs from Buy Plan | Removes a group of SIMs from a specific Buy Plan. |
| Top Up SIM | Enables you to add money, SMS, or data to multiple SIMs at the same time. |
Product Operations
A description of the product batch operations is provided in this table.
| Operation | Description |
|---|---|
| Allocate Product to Account | Assigns a recurring product/service fee to a group of sub-accounts. This ensures automatic billing for these services across those accounts. |