5.5.4.15 Process RTGS ISO FI Credit Transfer View Summary
This topic provides the systematic instructions to process the RTGS ISO FI Credit Transfer View Summary screen.
This screen provides a summary that provides an aggregated, high-level overview of
Real-Time Gross Settlement (RTGS) credit transfer transactions between Financial
Institutions (FIs), with a focus on payments executed using ISO 20022 messaging
standards.
- On Homepage, specify PSSIRTBV in the text box, and click
Next Arrow.The RTGS ISO FI Credit Transfer View Summary screen is displayed.
Figure 5-80 RTGS ISO FI Credit Transfer View Summary

Description of "Figure 5-80 RTGS ISO FI Credit Transfer View Summary" - Search using one or more of the following parameters:
Table 5-91 RTGS ISO FI Credit Transfer View Summary - Field Description
Field Description Search (Case Sensitive) This section displays fields to perform search. Transaction Reference Number Displays the transaction reference number. Network Code Displays the network code. Booking Date Displays the booking date of the transfer. Transaction Branch Displays the transaction branch from which the credit transfer is initiated. End to End Identification Displays the end to end identification. Customer Number Displays the customer name. Settlement Method Displays the method of settlement. Transaction Status Displays the currenct status of the transaction. Transfer Currency Displays the amount currency of the transfer. Requested Execution Date Displays the date of the request execution. Source Code Displays the source code. Transaction Identification Displays the identification number for the transaction. Debtor Account Number Displays the account number of the debtor. Queue Code Displays the queue code. Recall Status Displays the current status of the recall. Transfer Amount Displays the amount transfered. Activation Date Displays the date of activation. Instruction Identification Displays the identification number for the instruction. Clearing System Reference Displays the reference number for the clearing system. Creditor Account Number Displays the account number of the creditor. Search Results This section displays the details based on the search performed. The fields are same as displayed in the Search (Case Sensitive) section and are not editable. Process Return button Click Process Return at the bottom of the screen to display the Generic Wires ISO Outbound Payment Return Input Detailed (PSDOCBRT) screen, when the below conditions are satisfied: - User have required access rights on this user action (Either Role level or User Level).
- Transaction status is Processed.
- Click Search.The system displays the records that match the search criteria.
Parent topic: Process RTGS ISO FI Credit Transfer View