- Corporate Accounts User Guide
- Corporate Account Enquiries
- Accounting Enquiry
3.2 Accounting Enquiry
The accounting enquiry page displays the details of the internal transactions booked on an account. List the accounting enquiry by following the instructions provided in this topic.
- Click Corporate Account Enquiries, and under
Corporate Account Enquiries, click
Accounting Enquiry.The Accounting Enquiry page displays.
- Provide the account details to search for the transactions booked on the
account.
Table 3-10 Field Description table
Field Description Account Number Specify the Account number. - Click the Fetch
icon.
The Account Number dialog displays.
- Search for the required account by providing some or all of the following: Account Number, Account Name, or Account Currency.
- Select the required account from the results.
Account Name Auto-populated with the account name that corresponds to the selected account number. Branch Code Auto-populated with the branch that corresponds to the selected account number. External Transaction Reference Number (Optional) Specify the reference number of the external transaction performed by the customer. Note:
If a transaction reference number is not provided then the search will list all the balance details of all transactions in the specified date range.Source Code Enter the source code of the product that performed the transaction. Duration (Optional) Set the time frame to search and retrieve transaction entry records: - Today: Transaction entries logged on the same day.
- Date Range: Transaction entries logged between specified dates.
- Last 'n' transactions: Latest transactions, where n is the number of most recent transactions.
Show Unauthorized Toggle this option On to view only unauthorized transactions. - Click the Fetch
icon.
- Click Search.The transaction entries matching the search criteria display.
Table 3-11 Column Description table
Column Description Value Date The value date of the transaction. EA Reference Number The transaction reference number in the External Account (EA). Debit/Credit The type of transaction, Debit or Credit. Amount The transaction amount in the account's currency. Detail Any details provided about the transaction. - Click More in the Detail column
of a transaction.The Accounting Enquiry dialog displays the transaction details.
Figure 3-37 Accounting Enquiry - Transaction Details
Table 3-12 Transaction Details - Field Description
Field Name Description Accounting Reference Displays the accounting reference number for the transaction in the internal system. EA Reference Displays the accounting reference number for the transaction in the external system. Transaction Reference Displays the transaction reference number. Source Displays the DDA source system for the transaction. Transaction Amount Displays the transaction amount in the original transaction currency. Exchange Rate Displays the exchange rate to convert the original currency to the currency of the local branch. LCY Amount Displays the amount in the currency of the local branch. Debit/Credit Displays the type of transaction: Debit or Credit. Reversal Displays if the transaction is a reversal transaction. Instrument Number Displays the instrument number used for the transaction. For example, the check number for a credit transaction. Value Date Displays the value date of the credit or debit transaction. GL Posting Date Displays the posting date of the transaction in the GL. Transaction Status Displays the status of the transaction. For example, an Unauthorized transaction. Write Back Displays if a reversal of the transaction is allowed. Transaction Code Displays the transaction code used when posting the transaction. Transaction Description Displays the description provided for the transaction. Statement Narrative Displays the statement remarks provided for the transaction. Force Post Displays if the transaction was force posted. RTL Allowed Displays if a real-time limit is allowed on a debit transaction. - Click Close.
Parent topic: Corporate Account Enquiries