Navigation: Bankruptcy Information Screen > Repayment Plan Tab > Repayment Plan field group >
Payment Due Date
Entry: System, numeric
F/M: No
Mnemonic: BLBOPMDD
This is the date the next repayment plan payment is due. It is pulled from the Repayment Plan tab. You must use the BAP Payment transaction (tran code 2600-16 (check) or tran code 2600-17 (journal) to make payments to the repayment plan.
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