- Cross Border User Guide
- Cross Border Inbound Transaction
- Inbound Transaction Input
- Inbound Cross Border Payments View
Inbound Cross Border Payments View
- On Homepage, specify PXDIVIEW in the text box, and click next
arrow.Inbound Cross Border Payments View screen is displayed.
Figure 5-10 Inbound Cross Border Payments View
- From this screen, click Enter Query. The Transaction Reference field gets enabled which opens an LOV screen.
- Click the Fetch and select the required Transaction Reference Number for Query.
- Along with the transaction details in Main and Pricing tabs, you can also view
the Status details for the following:
- External System Status
- Transaction Status
- Pending Queue Details
- Sanction Seizure
- Cancellation Reason Details (Details pertaining to the cancellation request for the transaction gets updated)
Click Execute Query to populate the details of the transaction in the Cross Border Inbound Transaction View screen.
Field DetailsFollowing details are available in Main tab:Field Description View Queue This button launches the corresponding Queue screen, where the transaction is currently held. The Queue screen is launched in query mode, listing this transaction alone.
Note:- Based on the beneficiary account branch, payments are routed / booked in the respective transaction branch.
- Branch code is derived based on the beneficiary account number and is always belonging to the same host.
Accounting Handoff Status Accounting Handoff status for a transaction is set considering the accounting status of all accounting entries for the transaction and assigning the priority for the status as below: - Rejected
- In Progress (if any entry has status as Pending/Deferred/Requested)
- Success
- Cancelled
- Suppressed
- Not Applicable
Accounting Queue All accounting entries of the transactions in the Accounting Queue are listed. If no entry is available for the transaction error is displayed. Reversal Details -- Reject Code This field displays the Reject Code provided by you on Cross Border Transaction Reversal Request (PXDTRNRV) screen. Reject Reason This field displays the Reject Reason from Cross Border Transaction Reversal Request (PXDTRNRV) screen. Remarks This field displays the Remarks provided by you on Cross Border Transaction Reversal Request (PXDTRNRV) screen. Reversal Date This field displays the Reversal Date from Cross Border Transaction Reversal Request (PXDTRNRV) screen. gpi/Universal Confirmation Status -- Confirmation Status Select Confirmation Status from the following: - Ungenerated
- Generated
Confirmation Type Select Confirmation Type from the following: - Interim
- Credit
- Reject
Processing Window -- Earliest Release Date System displays the Earliest Release Date. Earliest Release Time System displays the Earliest Release Time. For more details on other fields, Main and Pricing tabs refer to Inbound Cross Border Payments Transaction Input (PXDITONL) screen details.
- Additional Details Button
- Sequence B - Cover Details Tab
- Accounting Entries
- All Messages
- Exceptions Tab
- gpi Confirmations
- Recall Messages
- View Queue Action Log
- UDF View Button
- MIS View Button
- View Repair Log
- Inbound MT 103/ MT 202 Processing
- Inbound Cross Border Payments View Summary
- Credit Account Branch Based Routing Processing
Parent topic: Inbound Transaction Input