Account Manual Adjustment
Enables you to perform a manual credit or debit adjustment to the overall account balance.
The information you need to build the CSV is provided in this table:
| Operation | Assign a custom alias to SIM card. |
|---|---|
| Required UUIDs |
|
| Column Order |
Sub Account UUID, Amount, Currency, Quantity, External Transaction ID, Event Date, Reason, Description |
INSTRUCTIONS: To do a batch operation refer to Upload and Execute Batch File