5.5.3 Process RTGS ISO FI to FI Customer Credit Transfer View

This topic provides a systematic instructions for the RTGS ISO FI to FI Customer Credit Transfer View screen.

This screen allows users to track and manage Real-Time Gross Settlement (RTGS) payments between Financial Institutions (FI).
  1. On Homepage, specify PSDIRTCV in the text box, and click Next Arrow.
    The RTGS ISO FI to FI Customer Credit Transfer View screen is displayed.

    Figure 5-40 RTGS ISO FI to FI Customer Credit Transfer View

    Description of Figure 5-40 follows
    Description of "Figure 5-40 RTGS ISO FI to FI Customer Credit Transfer View"
    For more information on fields, refer to the field description table below:

    Table 5-53 RTGS ISO FI to FI Customer Credit Transfer View - Field Description

    Field Description
    Transaction Branch Specify the transaction branch code.
    Source Code Specify the source code of the transaction.
    Transaction Reference Number Specify the reference number for the transaction.
    Instruction Identification Specify the identification number for the instuctions.
    Network Code Specify the network code for the transaction.
    End to End Identification Specify the end to end identification.
    UETR Specify the UETR value.
    Clearing System Reference Specify the reference number for the clearing system.
    Credit to GL Switch on the Toggle icon to credit the amount to GL.
    gpi Agent Specify the gpi agent.
    Incoming gpi Switch on the Toggle icon to set the gpi as incoming.
  2. Click Enter Query.
    The Transaction Reference Number field gets enabled, for the user to specify the reference number.
  3. Click Execute Query, to populate the details of the transaction.
    The system displays all the fields in the below mentioned tabs based on the transaction reference number selected.