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ActionTrail:Audit events of Billing Management

Last Updated:Dec 30, 2022

Billing Management is integrated with ActionTrail. In the ActionTrail console, you can query the management events that are generated when you manage Billing Management resources ActionTrail can deliver management events to Logstores in Log Service or Object Storage Service (OSS) buckets. This way, you can audit the events in real time and locate the causes of issues.

ActionTrail generates management events when you manage cloud resources by using APIs. The following table describes the management events of Billing Management that you can query in the ActionTrail console. The missing descriptions will be provided in the future.

Event name

Description

AddAccountRelation

Associates the main financial account with another account.

AllocateCostUnitResource

Transfers resource instances from the source cost center to the destination cost center.

ApplyInvoice

Submits an application for an invoice.

CancelOrder

Cancels an unpaid order.

ChangeResellerConsumeAmount

Offsets fees by using quotas.

ConfirmRelation

Confirms the association between the main financial account and another account.

ConvertChargeType

Changes the billing method of an instance.

CreateAgAccount

Creates an account. The main financial account and the account independently perform operations.

CreateCostUnit

Creates a cost center.

CreateInstance

Creates an instance.

CreateResellerUserQuota

Creates a quota ledger and a consumption ledger.

CreateResourcePackage

Creates a resource plan.

CreateSavingsPlansInstance

Creates a savings plan instance.

DeleteCostUnit

Deletes a cost center.

DescribeInstanceBill

Queries instance bills.

DescribePricingModule

Queries the pricing information about an Alibaba Cloud service.

DescribeResourceCoverageDetail

Queries the coverage details of resources.

DescribeResourceCoverageTotal

Queries the coverage summary of resources.

DescribeResourcePackageProduct

Queries the information about the resource plans of an Alibaba Cloud service.

DescribeResourceUsageDetail

Queries the usage details of resources.

DescribeResourceUsageTotal

Queries the usage summary of resources.

DescribeSavingsPlansCoverageDetail

Queries the coverage details of savings plans.

DescribeSavingsPlansCoverageTotal

Queries the coverage summary of savings plans.

DescribeSavingsPlansUsageDetail

Queries the usage details of savings plans.

DescribeSavingsPlansUsageTotal

Queries the usage summary of savings plans.

DescribeSplitItemBill

Queries split bills.

EnableBillGeneration

Enables the ticket generation feature.

GetAccountRelation

Queries the association between the main financial account and another account.

GetCustomerAccountInfo

Queries the account information about a virtual network operator (VNO).

GetCustomerList

Queries sub-accounts.

GetOrderDetail

Queries the details of an order that belongs to your Alibaba Cloud account or distributors.

GetPayAsYouGoPrice

Queries the pay-as-you-go price of an Alibaba Cloud service.

GetResourcePackagePrice

Queries the price of a resource plan.

GetSubscriptionPrice

Queries the subscription price of an Alibaba Cloud service.

InquiryPriceRefundInstance

Queries the amount that is refunded for an instance.

ModifyAccountRelation

Modifies the permissions that are granted in an account association.

ModifyCostUnit

Modifies a cost center.

ModifyInstance

Modifies the configuration of an instance.

QueryAccountBalance

Queries the account balance.

QueryAccountBill

Queries the consumption of your Alibaba Cloud account within a billing cycle.

QueryAccountTransactionDetails

Queries the details of transactions within your Alibaba Cloud account.

QueryAccountTransactions

Queries transactions within your Alibaba Cloud account.

QueryAvailableInstances

Queries available instances.

QueryBill

Queries the bills within a billing cycle.

QueryBillOverview

Queries the bill overview information in a billing cycle.

QueryBillToOSSSubscription

Queries the information about the Object Storage Service (OSS) bucket that stores the subscribed bills.

QueryCashCoupons

Queries the information about coupons.

QueryCostUnit

Queries all cost center nodes within the current node of the cost center tree.

QueryCostUnitResource

Queries the resource instances to which a cost center belongs.

QueryCustomerAddressList

Queries the addresses to which invoices are mailed.

QueryDPUtilizationDetail

Queries the usage details of a resource plan.

QueryEvaluateList

Queries the invoicing details.

QueryFinancialAccountInfo

Queries the information about a financial account.

QueryInstanceBill

Queries the billing information about instances or billable items in a billing cycle.

QueryInstanceByTag

Queries instances by tag.

QueryInstanceGaapCost

Queries the monthly generally accepted accounting principles (GAAP) amount.

QueryInvoicingCustomerList

Queries the information about invoice titles.

QueryMonthlyBill

Queries monthly bills.

QueryMonthlyInstanceConsumption

Queries the monthly bills of instances.

QueryOrders

Queries the orders of your Alibaba Cloud account or distributors.

QueryPermissionList

Queries account permissions.

QueryPrepaidCards

Queries prepaid cards.

QueryProductList

Queries the information about all Alibaba Cloud services.

QueryRedeem

Queries the information about a redemption coupon.

QueryRelationList

Queries account associations.

QueryResellerAvailableQuota

Queries the remaining quota.

QueryResourcePackageInstances

Queries resource plans.

QueryRIUtilizationDetail

Queries the usage details of a reserved instance (RI).

QuerySavingsPlansDeductLog

Queries the deduction details of a savings plan.

QuerySavingsPlansInstance

Queries savings plan instances.

QuerySettleBill

Queries the bills within a billing cycle.

QuerySettlementBill

Queries bills.

QuerySplitItemBill

Queries split bills.

QueryUserOmsData

Queries the usage records of an Alibaba Cloud service.

RefundInstance

Unsubscribes from an instance.

ReleaseInstance

Releases an instance.

RelieveAccountRelation

Deletes the association between the main financial account and another account.

RenewInstance

Renews an instance.

RenewResourcePackage

Renews a resource plan.

SaveUserCredit

Saves credit information.

SetAllExpirationDay

Sets an expiration date for all Elastic Compute Service (ECS) instances.

SetCreditLabelAction

Adds a credit label.

SetRenewal

Enables auto-renewal for an instance.

SetResellerUserAlarmThreshold

Sets an alert threshold for a quota.

SetResellerUserQuota

Sets the quota of a quota ledger.

SetResellerUserStatus

Sets the frozen or hosting status of an account of a third-party reseller.

SubscribeBillToOSS

Subscribes the export of bills that are stored in OSS buckets.

TagResources

Adds tags to resources.

UnsubscribeBillToOSS

Cancels the subscription for the export of bills that are stored in OSS buckets.

UpgradeResourcePackage

Upgrades a resource plan.

ChangeConsumeAmount

None.

CreateUserQuota

None.

QueryAccountBookList

None.

QueryAvaliableQuota

None.

QueryPrice

None.

QueryPriceList

None.

SetEnduserStatus

None.

SetUserQuota

None.

SubscribeExportToOSS

None.