4.1.1.4 Process Payment Information Tab

This topic explains the Payment Information tab of the Cross Border Inbound FI to FI Customer Credit Transfer Input Detailed screen.

  1. From the main screen, select the Payment Information tab.
    The Payment Information details are displayed.

    Figure 4-11 Cross Border Inbound FI to FI Customer Credit Transfer Input - Payment Information Tab

    Description of Figure 4-11 follows
    Description of "Figure 4-11 Cross Border Inbound FI to FI Customer Credit Transfer Input - Payment Information Tab"
  2. On the Payment Information tab, specify the fields.

    Table 4-11 Cross Border Inbound FI to FI Customer Credit Transfer Input_Payment Information Tab - Field Description

    Field Description
    Settlement Time Indication This section displays the Settlement Time Indication details.
    Debit Date Time Specify date and time of debiting the transaction.
    Credit Date Time

    Specify date and time of crediting the transaction.

    Note: For above mentioned fields, the time offset is made mandatory for translation purposes.

    Settlement Time Request This section displays the Settlement Time Request details.
    CLS Time Specify the CLS Time.
    From Time Specify the From Time.
    Till Time Specify the Till Time.
    Reject Time

    Specify the Reject Time.

    Note: For the above mentioned fields, the time offset is made mandatory for translation purposes.

    Payment Type Information This section displays the Payment Type Information details.
    Instruction Priority Select the Instruction Priority from the drop-down list. The available options are:
    • HIGH
    • NORM
    Clearing Channel Select the Clearing Channel from the drop-down list. The available options are:
    • BOOK
    • MPNS
    • RTGS
    • RTNS
    Settlement Priority Select the Settlement Priority from the drop-down list. The available options are:
    • HIGH
    • NORM
    • URGT
    Local Instrument Code Select the Local Instrument Code from the list of values. This list contains ISO 20022 Instrument codes.
    Local Instrument Proprietary Specify the Local Instrument Proprietary value.
    Purpose Code Select the Purpose Code from the list of values. This list contains ISO 20022 Purpose codes.
    Purpose Proprietary Specify the Purpose Proprietary value.
    Category Purpose Code Select the Category Purpose Code from the list of values. This list contains ISO 20022 category purpose codes.
    Category Purpose Proprietary

    Specify the category purpose proprietary value.

    Note:

    If you enter Local Instrument, you must provide either Code or Proprietary.

    If you enter Purpose, you must provide either Code or Proprietary.

    If you enter Category Purpose, you must provide either Code or Proprietary.

    Service Level Details This section displays the Service Level Details.
    Service Level Code Select the Service Level Code from the list of values. This list contains ISO 20022 service level codes.
    Service Level Proprietary

    Specify the Service Level Proprietary value.

    Note:

    Only three occurrences of service level are allowed.

    If you enter Service Level, you must provide either Code or Proprietary.

    Instruction for Creditor Agent This section displays the Instruction for Creditor Agent details.
    Code Select the Code from the drop-down list. The available options are:
    • CHQB
    • HOLD
    • PHOB
    • TELB
    Instruction Information

    Specify the Instruction Information.

    Note:

    Only two occurrences of Instruction For Creditor Agent are allowed.

    If the code CHQB is present, then the code HOLD is not allowed. Otherwise, HOLD is optional.

    If the code PHOB is present, then the code TELB is not allowed. Otherwise, TELB is optional.

    Instruction for Next Agent This section displays the Instruction for Next Agent details.
    Instruction Information Specify the instruction information to be provided to the next agent in the payment chain.