3.5.2.4 Settlement through External Account

User can settle the disbursement amount using an external account.

To settle disbursement amount through external account:

  1. From the Settlement details section, click Add New Settlement.
    The Add settlement section is displayed.
  2. Select the External Account option from the Pay Through field.
    The fields for adding external account details are displayed.
  3. In the Add settlement section, user can maintain the required details. For more information on fields, refer to field description table below:

    Table 3-19 Settlement through external account – Field Description

    Field Description
    Pay Through Select the External Account option from the list. The other options are:
    Account Number Specify the account for performing the disbursement.
    Customer Name Specify the customer name of the external account.
    Routing Number Select the routing number for settling the disbursement amount.
    Participant Name Displays the name of the participant.
    Account Type Select the account type for settling the disbursement amount. The options are:
    • Savings Account
    • Checking Account
    Pay Select the option for disbursement payment. The options are:
    • Amount
    • Percentage
    Amount Specify the amount to be disbursed.

    Note:

    This field is displayed if Amount option is selected from the Pay field.
    Percentage Specify the percentage of amount to be disbursed.

    Note:

    • This field is displayed if Percentage option is selected from the Pay field.
    • Based on the perentage specified, the value is calculated and displayed in the Amount field.
  4. Click Save.
    The details are added and displayed in a tabular format.

    Figure 3-37 External Account Added



    For more information on fields, refer to field description table below:

    Table 3-20 Settlement Details Added – Field Description

    Field Description
    Pay Through Displays the option selected for pay through.
    Description Displays the account number and account holder's name.
    Amount Displays the disbursement amount.
    Amount FCY Displays the amount in foreign currency.
    Action Displays the action that can be performed on the details added. The options are:
    • Edit : Click to edit the settlement details. As user clicks this icon, An Edit section is displayed. User can edit the required details and click Save.
    • Delete : Click to delete the settlement details added. This icon is enabled, if multiple settlements are added to from the account.
  5. Click Add.
    The details are added successfully and displayed in the Settlement details section.