15.14 Error Codes

The following error codes are available for exchange details:

Table 15-115 Amortized Exchange Details

Error Code Description
CF-NRTE01 Amort Exch Rate cannot be less than equal to Zero
The following error codes are available for effective date.

Table 15-116 Effective Date of Exchange Rate Amendment

Error Code Message Type
LD-EXAMD102 Effective date cannot be earlier than the last commitment fee liquidation date E
LD-EXAMD101 Effective date cannot be earlier or equal to VAMI date. + code change E
The following error codes are available for adjustment reversal details.

Table 15-117 Adjustment Reversal Details

Error Code Description
LD-ADJ-022 Invalid Debit GL Account.
LD-ADJ-023 Invalid Credit GL Account.
LD-ADJ-026 Accounting entries not found for the Debit account type
LD-ADJ-025 Accounting entries not found for the Credit account type
LD-ADJ-027 Adjustments Reversal Processing Failed
LD-ADJ-028 Value Date cannot be less than today for Operation Adjustments
LD-ADJ-029 Auto reversal is not allowed for Operation Adjustments
The following error codes are available for the cost of credit valuation process.

Table 15-118 Cost of Credit Valuation

Error Code Description
LD-COC-01 COC Revaluation failed
LD-COC-02 Failed in COC balances population
LD-COC-03 Failed in commitment COC population
LD-COC-04 Failed in commitment COC balances population
LD-COC-05 Failed in loan balances population for a commitment
LD-COC-06 Failed in populating loan balance
LD-COC-07 Error in loan COC balance population
LD-COC-08 Error in updating commitment COC balance
LD-COC-09 Error in updating loan COC balance
LD-COC-10 Net carry value for a loan cannot be negative
LD-COC-11 Failed in updating loan COC rebalance values
LD-COC-12 Failed in Transfer Asset Marks processing
LD-COC-13 Failed in populating Transfer Asset Marks
LD-COC-14 Failed in FAS114/ Write-off processing
LD-COC-15 Failed in populating FAS114/ Write-off amounts
LD-COC-16 Failed in Recovery processing
LD-COC-17 Failed in Rebalance processing
LD-COC-18 Failed in Cost of Credit Validation
LD-COC-19 Error in populating Cost of Credit details
LD-COC-20 Error in setting Cost of Credit valuation required flag
LD-COC-21 Failed in Cost of Credit valuation status update
LD-COC-22 Cannot set Cost of Credit Valuation, as Product is not checked for Cost Of Credit Valuation
LD-COC-23 Failed in computing FAS114 Reserve Release values
LD-COC-24 Failed in CoC balances archiving
LD-COC-26 FAS91 Fee Refund / Liquidation population failed
LD-COC-27 FAS91 Fee Refund / Liquidation process failed
LD-COC-28 At least one event should be chosen for reversal
LD-COC-29 Only one event at a time can be reversed
LD-COC-30 Failed in Deferred interest component processing on commitments
LD-COC-31 Failed in Negative carrying value processing on commitments
LD-COC-33 Failed in Amort fee accrual restart
LD-COC-39 Contra/Writeoff/Fas114 Reserve balance will be in negative after reversal. Do you want to continue?
LD-COC-34 COC Valuation required flag will be defaulted from product as contract is in Non-Performing Status. Do you want to proceed?
LD-COC-40 COC balance is negative after rebalancing
CF-AC005 Only one component is allowed to check as Deferred interest component
The following error codes are available for LC Sublimit Balance (HFI) Update.

Table 15-119 LC Sublimit Balance (HFI) Update

Error Code Description
LD-STP-LC06 LC Sublimit HFI Balance Update failed
The following error codes are available for late payment charges.

Table 15-120 Late Payment Charges

Error_Code Description Error Type
LD-CON-310 Grace days for the Loan is defaulted from the commitment contract O
LD-CON-311 Grace period is defaulted from loan product O
LD-VAM-61 For special rate type Amount/Rate change should be current dated E
CS-WVR-001 Penalty Waiver Details need to be captured E
CS-WVR-002 Amendment is not allowed on the Reversed Transactions E
CS-WVR-003 Transaction did not happen from here, amend it from appropriate screen E
CS-WVR-004 Transactions can be saved only with waive flag checked E
CS-WVR-005 Prior schedules are unpaid for this component. Please pay/waive all such schedules before proceeding E
CF-CL0021 For the given amount category, Accrual Required flag should be set to N E
CS-WVR-006 Reversal of Waiver not allowed as nothing is due on the given due date E
CS-WVR-007 Reversal not allowed, Latest due date should be reversed first. E
CS-WVR-008 Later schedules are waived for this component. Please reverse waiver for all such schedules before proceeding E

Table 15-121 All-In Rate Floor/Ceiling for Loans

Error Code Description Error Type
LD-FLR-001 Rate for $1 component is lesser than the Floor defined at Commitment Level. Do you want to override? O
LD-FLR-002 Rate for $1 component is greater than the Ceiling defined at Commitment Level. Do you want to override? O
LD-FLR-003 Failed in getting the floor and ceiling rate E
LD-FLR-004 Rate for $1 component is lesser than the Floor defined at Commitment Level. Do you want to Continue? O
LD-FLR-005 Rate for $1 component is greater than the Ceiling defined at Commitment Level. Do you want to Continue? O
LD-FLR-006 Maintenance was not done from here, so authorize it from appropriate screen. E
LD-FLR-007 Maintenance was not done from here, so delete it from appropriate screen E
The following error codes are available for Pool Funds

Table 15-122 Pool Funds

Error Code Description
LD-POOL-01 Pool Amount cannot be Blank or zero or negative
LD-POOL-02 Cannot Copy Unauthorized Record
LD-POOL-05 Pool funding ref no cannot be null.
LD-POOL-06 Master funding ref no cannot be null.
LD-POOL-07 Contract Amount is not maintained.
LD-POOL-08 Contract currency is not maintained
LD-POOL-09 Unable to compute available amount for the pool $1.
LD-POOL-10 Insufficient balance in the Pool $1, booking not allowed.
LD-POOL-11 Failed in validating funding pool details.
LD-POOL-12 Pool $1 is either unauthorized or locked by another process. Cannot proceed.
LD-POOL-16 Loan and Commitment currency should be same for Commitments linked to a Pool.
LD-POOL-17 This Commitment is linked to loans in a different currency; hence Pool cannot be attached.
The following error code is available for Chinese Characters in payment

Table 15-123 Chinese Characters in Payment

Error Code Description
LD-BR103 Do you want to disable Chinese characters in Payment ?
The following error codes are available for UCC processing of disclosure codes and contract disclosure schedule.

Table 15-124 UCC Processing

Error Code Description
LS-DSC-017 Expiry Date cannot be less than Application Date
LS-DSC-018 Expiry Date is Mandatory if UCC code is selected
LS-DSC-019 Expiry Date will be propagated to UCC linked contracts upon authorization, do you want to continue?
LS-DSC-022 Contract Disclosure schedule for $1 is being amended by another user; expiry date will not be propagated
LS-DSC-028 Expiry Date will not be propagated to contracts, do you want to continue?
LS-DSC-031 Multiple schedules are not allowed for UCC disclosure codes
LS-DSC-032 End date cannot be lesser than Start date
LS-DSC-033 Cannot delete the schedule for UCC disclosure codes
The following error codes are available for marking the status of a loan or commitment contract from ‘Active’ to ‘Liquidated’.

Table 15-125 Marking Contracts as Liquidated

Error Code Error Message
LD-PMT304 Active Loans exist for the commitment. Liquidation not allowed.
LD-PMT306 Contract will be liquidated. Proceed?
LD-PMT307 Maturity date is greater than application date. Liquidation not allowed.
LD-PMT308 Validation for marking the liquidation is failed.
LD-PMT309 Principal Outstanding/amount due balance still exists. Liquidation not allowed.
LD-PMT310 Active STP contract exists. Liquidation not allowed.
LD-PMT311 The escrow balances linked to this contract is not zero. Liquidation not allowed.
LD-PMT313 Pending STP contract yet to be processed. Liquidation not Allowed
The following error codes are available for clearing line and credit line validation on Tranche and Drawdown contracts.

Table 15-126 Clearing Line Validation

Error Code Error Message
LD-C0802 Approved Clearing Line is Not Specified.
LD-C0812 Origination self participant $1 of the tranche is not linked to credit line.
LD-C0813 Self Participant $1''s amount $2 is more than credit limit amount $3.
LD-C0814 Clearing line limit check for tranche is failing .Tranche non HFI amount $1 is more than limit amount $2
LD-C0815 Tranche is linked to an unavailable clearing line.
LD-C0816 Origination self participant $1 is linked to an unavailable credit line.
LD-C0817 The Credit line GFRN value cannot change to clearing line GFRN.
LD-C0818 The Clearing line GFRN value cannot change to credit line GFRN.
The following error codes are available for participant level margin maintenance on Tranche and Drawdown contracts.

Table 15-127 Participant Margin Maintenance

Error Code Error Message
LN-PMAR-001 Lender margin maintenance is not allowed as this functionality is not enabled at Loan parameter maintenance level
LN-PMAR-002 Margin maintenance for lenders is not applicable for LOR type of contracts
LN-PMAR-003 NPVAMI is already performed on $1 hence participant margin can not be changed
LN-PMAR-005 Lender margin can be maintained only for main interest margin components
LN-PMAR-006 Floor/Ceiling is already maintained. Do you want to override it?
LN-PMAR-007 Total margin rate of all the participants is not same with borrower margin rate
LN-PMAR-010 Participant margin is not allowed on the tranche $1 having non prorata payment captured on underlying drawdowns
LN-PMAR-011 Lender margin can not be maintained for non-cascade participation types of tranche
LN-PMAR-016 Please visit the participant margin screen to correct the margin there
LN-PMAR-015 Participant margin maintained for effective date $1 will also be cleared. Do you want to proceed.
The following error codes are available for CUSIP reclass.

Table 15-128 CUSIP Reclass

Error Code Error Description
LD-RCLS-001 Batch No/No of job for CUSIP no reclass is not available could not proceed with reclass processing
LD-RCLS-002 Cusip No Reclass has happened for this contract. Do you want to proceed?.
LD-RCLS-003 CUSIP Reclass reprocessed successfully
LD-PMT317 Marking the tranche as Inactive is failed