2.1.3 Funding

This topic provides the systematic instructions to capture the funding details of Term Deposit account.

In this data segment you can capture the funding details to fund the Term Deposit account.
  1. Click Next in previous data segment screen to proceed with the next data segment, after successfully capturing the data.
    The Funding screen displays.
  2. In the Funding screen, specify the required details.

    Note:

    The fields, which mentioned as Required, are mandatory.
    For more information on fields, refer to the field description table.

    Table 2-5 Funding

    Field Name Description
    Funding Account

    Displays the amount to be funded along with the currency.

    Fund By

    Select the mode from the drop-down list through which fund are collected.

    The available options are:

    • Account Transfer
    • GL Account
    Transaction Reference Number Specify the transaction reference number.

    This field appears if the Cash or Account Transfer or Other Bank Cheque option is selected from the Fund By drop-down list.

    Value Date Select the date on which the transaction is performed. By default the current business date is populated.
    Account

    Select the account number from the list.

    This field appears if the GL Account or Account Transfer option is selected from the Fund By drop-down list.

    The list populates only the Saving or GL accounts respectively of the existing applicants who are involved in the application.

    Cheque Number

    Specify the cheque number through which the fund amount is deposited.

    This field is applicable only if the Other Bank Cheque option is selected from the Fund By drop-down list.

    Cheque Date

    Select the date on which the cheque is issued.

    This field is applicable only if the Other Bank Cheque option is selected from the Fund By drop-down list.

    Note:

    The GL Account and GL Account Description will be applicable depending on the following scenarios:

    Table 2-6 Fund By

    Fund By Fund By Mode (In the Origination Preferences screen) Applicability
    Cash Automatic Applicable
    Cash Manual Applicable
    Account Transfer Host Applicable
    Account Transfer Manual Applicable
    Cheque Host Non - Applicable
    Cheque Manual Applicable
  3. Click Next to navigate to the next data segment, after successfully capturing the data. The user is required to provide all mandatory data segments and data fields for the system to validate. If any mandatory details are missing, the system displays an error message for the user to correct the information. Users must capture the mandatory data before they can proceed to the next data segment.