2.2.1.1 Process Payment Preferences Tab
This topic explains the Payment Preferences tab of the Generic Wires ISO Outbound Network Preference Maintenance screen.
- From the main screen, select the Payment Preferences
tab.The Payment Preferences details are displayed.
Figure 2-2 Generic Wires ISO Outbound Network Preference Maintenance - Payment Preferences

Description of "Figure 2-2 Generic Wires ISO Outbound Network Preference Maintenance - Payment Preferences" - On Payment Preferences, specify the fields.For more information about the fields, refer to field description table.
Table 2-6 Generic Wires ISO Outbound Network Preference Maintenance_Payment Preferences - Field Description
Field Description Accounting Codes This section displays the following fields. Debit Liquidation Specify the template for Debit Liquidation from the list of available accounting templates. You can select the template from the option list.
The list displays all Open/Authorized accounting code defined for the host in the Account Template Maintenance (PMDACCTL) where Main Transaction Dr/Cr indicator is Debit.
Credit Liquidation Specify the template for Credit Liquidation from the list of available accounting templates.
You can select the template from the option list. The list displays all Open/Authorized accounting code defined for the host in the Account Template Maintenance (PMDACCTL) where Main Transaction Dr/Cr indicator is Credit.
Network Priority Select a value from 0 to 9 from the drop-down to set the network priority for processing requests to the external system. IBAN Validation Required Select a value from the drop-down list. The available options are:- Yes
- No
If you select the value as Yes, the IBAN validation is done based on other preferences like Country level IBAN Validation Required flag value.
Small FX Limit Currency Specify the currency code from the list of values. The list of values contains all the open/ authorized currency codes maintained in Currency Definition (CYDCDEFE) screen. Small FX Limit Amount Specify the small FX limit amount. The system converts the transfer amount in Small FX limit currency and compare with this limit. External FX Applicable Select a value from the drop-down list. The available options are:- Yes
- No
If you select value as Yes, the Exchange Rate Request is sent to External FX system for obtaining exchange rate.
Exchange Rate Preference This section displays the following fields. FX Rate Type Specify the FX Rate Type from the list of values. The list of values contains all the open/ authorized currency rate types defined. Rate Override Variance% Specify the rate override variance. If you provide an exchange rate manually for a payment transaction and it exceeds the override limit specified, the system displays an overriding message. Rate Stop Variance% Specify the rate stop variance. In case the exchange rate specified exceeds the Stop limit specified, the system throws an error. FX Cancellation Select a value from the drop-down list. The available options are:- FX Unwind Queue
- Auto Interface
If you select Auto Interface, the FX reversal request is sent to an external system automatically.
If you select FX Unwind Queue, the transaction is inserted into FX unwind queue for the operator to manage a manual reversal of the FX contract.
Value Dating Preference This section displays the following fields. Debit Value Date Basis Select the Debit Value Date Basis from the following options: - Activation Date
- Instruction Date (Default)
Instruction Date Basis Select the Instruction Date Basis from the following options: - Transfer Currency Working Days
- Transfer Currency Calendar Days (Default)
Activation Date Basis This section displays the following fields. Branch Holiday Check Select Branch Holiday Check option if applicable and it remains unchecked by default.