Add "Billing Spec" to PortfolioCenter export file to populate Junxures "Fees Schedule" field in assets

Add "Billing Spec" to PortfolioCenter export file to populate Junxures "Fees Schedule" field in assets

Hi.  It would be SO great if you would add the PortfolioCenter (PC) data field called Billing Spec to the PC export file, then have that data populate the "Fees Schedule" field in the asset detail window.  

Please see attached images.