In the upper section, the following bond/surety details are displayed:
Bond/Surety Type - Name (code) of the bond/surety type.
Bond/Surety Type Description - Language dependent description of the bond/surety type.
Revision - You can enter information about revision in free form here.
Bond Value - Value of the bond/surety.
Bond Cost - Costs of the bond/surety.
Surety Institution - Name of the bank or institution that issues the bond.
Beneficiary - Beneficiary of the bond/surety.
Issue Date - Date the bond/surety was issued.
Expiration Date - Date the bond/surety expires.
Received Date - Date the bond/surety was received.