1 Configurations
This topic contains the following Configurations as subtopics:
- Retail Deposits Business Product
Users can classify the customer accounts of the bank into different groups and assign each group an identifying code. - Deposit Pay-in Maintenance
The deposit pay-ins to be done by GL, user needs to maintain the GL details through the Deposit Pay-in Maintenance screen. - Penalty Parameters Configuration
To configure the penalty days basis the deposit tenure. - State Group Parameters Configuration
This allow users to define state group parameters for the escheatment parameters across the currencies. - State Group Mapping Configuration
This allows the user to map the state group ID to state codes and business products so that the escheatment parameters can be mapped as per the state. - IRA Parameters Configuration
This is a common screen where an user can capture parameters that are common across, IRA savings as well as IRA Certificate of Deposits. - IRA Plans Configuration
This is a common screen where an user can choose plans that are common for IRA savings as well as IRA Certificate of Deposits. - Retail Deposits IRA Product
Users can classify an IRA accounts of the bank into different groups and assign each group an identifying code.