4.2.2.1 Process Main Tab

This topic explains the Main tab of the RTGS ISO Inbound FI Credit Transfer Input Detailed screen.

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

    Figure 4-138 RTGS ISO Inbound FI Credit Transfer Input Detailed - Main Tab

    Description of Figure 4-138 follows
    Description of "Figure 4-138 RTGS ISO Inbound FI Credit Transfer Input Detailed - Main Tab"
  2. On Main Tab, specify the fields.
    For more information about the fields, refer to field description table.

    Table 4-108 RTGS ISO Inbound FI Credit Transfer Input Detailed_Main Tab - Field Description

    Field Description
    Payment Details

    This section displays the Payment Details.

    System defaults the following fields to current branch date:
    • Booking Date
    • Requested Execution Date
    • Value Date
    • Activation Date
    Debit Value Date System derives the debit value date as part of transaction processing when the user clicks the Enrich button. This field is disabled for user input.
    Credit Value Date System derives the credit value date as part of transaction processing when the user clicks the Enrich button. This field is disabled for user input.
    Transfer Currency Select the Transfer Currency from the list of values.
    Transfer Amount Specify the transfer amount.
    Credit Account Select the Credit Account of customer from the list of values . This list contains all open and authorized customer accounts maintained in External Customer Accounts maintenance and GLs.
    Credit Account Currency System populates this field with the account currency based on the debit account selected.
    Credit Account Branch System populates this field with the account branch based on the debit account selected.
    Credit Amount Specify the Credit Amount. If user do not enter this value, the system populates this field based on specified transfer currency/amount.
    Customer Number System defaults the resolved Customer Number.
    Customer Service Model System defaults the Customer Service Model of the resolved customer number.
    Debit Account At the click of Enrich button, system defaults the Credit Account with the network account.
    Debit Account Currency System populates this field with the account currency based on the debit account selected.
    Debit Account Branch System populates this field with the account branch based on the debit account selected.
    Exchange Rate Specify the Exchange Rate if debit account currency is different from transfer currency or instructed currency is different from transfer currency.
    FX Reference Number Specify the FX Reference Number.
    Remarks Specify the Remarks, if applicable.
    Creditor Details This section displays the Creditor Details.
    BICFI Select the BICFI from the list of values.
    Clearing System Code Select the Clearing System Code from the list of values.
    Member Identification Specify the member identification code.
    Name System defaults the name as per selected BICFI.
    Creditor Account Identification Specify the creditor account number.
    Creditor IBAN Specify the Creditor IBAN.
    Creditor Account Currency Specify the Credit Account Currency from the list of values.
    Creditor Account Name Specify the Creditor Account Name.
    Other Creditor Details Button

    Click the Other Creditor Details button on Main tab under Creditor Details header to open the sub-screen. This screen displays the Creditor Details.

    Refer to the topic Main Tab - Other Details Button for details of fields and sub-screen of the Creditor Details button.

    Creditor Agent Details This section displays the Creditor Agent Details.
    BICFI Select the BICFI value from the list of values.
    Clearing System Code

    Select the Clearing System Code from the list of values.

    You should input either BICFI or Clearing System Code/Member Identification.

    Member Identification Specify the Member Identification.
    Name System defaults the name as per selected BICFI.
    Creditor Agent Details Button

    Click the Creditor Agent Details button on Main tab under Creditor Agent Details header to open the sub-screen. This screen displays the Creditor Agent Details.

    Refer to the topic Main Tab - Agent Details Button for details of fields and sub-screen of the Creditor Agent Details button.

    SSI Label Select the SSI Label from the list of values. The list of values contains all valid SSI Labels applicable for the customer and the network.
    Interbank Settlement Currency System displays same as transfer currency.
    Interbank Settlement Amount System displays final amount resolved.
    Message Suppression Preferences This section displays the Message Suppression Preferences.
    Credit Confirmation By default, the checkbox is unselected. If user select the checkbox, credit information is suppressed.
    Debtor Details This section displays the Debtor Details.
    BICFI Select the BICFI value from the list of values.
    Clearing System Code Select the Clearing System Code from the list of values.
    Member Identification Specify the Member Identification.
    Name System defaults the name as per selected BICFI.
    Debtor Account Identification System defaults this field based on debit account selected. User can modify the account number.
    Debtor IBAN System defaults this field based on debit account selected. User can modify the account number.
    Debtor Account Currency Specify the currency of the selected debit account.
    Debtor Account Name Specify the Debtor Account Name.
    Other Debtor Details Button

    Click the Other Debtor Details button on Main tab under Debtor Details header to open the sub-screen. This screen displays the Debtor Details.

    Refer to the topic Main Tab - Other Details Button for details of fields and sub-screen of the Other Debtor Details button.

    Debtor Agent Details This section displays the Debtor Agent Details.
    BICFI Select the BICFI value from the list of values.
    Clearing System Code Select the Clearing System Code from the list of values.
    Member Identification Specify the Member Identification.
    Name System defaults the name as per selected BICFI.
    Debtor Agent Details Button

    Click the Debtor Agent Details button on Main tab under Debtor Agent Details header to open the sub-screen. This screen displays the Debtor Agent Details.

    Refer to the topic Main Tab - Agent Details Button for details of fields and sub-screen of the Debtor Agent Details button.

    Instructing Agent This section displays the Instructing Agent details.
    BICFI Select the BICFI value from the list of values.
    LEI Specify LEI of the agent.
    Settlement Preference This section displays the Settlement Preference.
    Settlement Method

    Select the Settlement Method for the transaction.

    The possible value is CLRG.

    Clearing System Code

    Select the Clearing System Code for the transaction from the drop-down list.

    The possible value is TGT.

From this tab, navigate to Main, Payment Information, Agent Details or Remittance Information tab.