3.4 Exceptions
This topic helps you quickly get acquainted with the Exceptions process.
The Export Collection Liquidation Islamic request, before the task moves to the approval stage, the application will validate the Amount Block, KYC and AML. A failure in validation of any of them, the task will reach exception stage for further approval for the exceptions.
Exception - Amount Block
As part of amount block validation, application will check if sufficient balance is available in the account to create an amount block. On hand-off, system will debit the blocked account to the extent earmark and credit charges/ commission account in case of charges block or credit the amount in suspense account for earmarks created for collateral.
The transactions that have failed amount block due to non-availability of amount in respective account will reach the amount block exception stage.
Log in into OBTFPMCS application, amount block exception queue. Amount block validation failed tasks for trade transactions will be listed in the queue. Open the task to view summary of updated available fields with values.
On Approval, system should not release the Amount Block against each applicable account and system should handoff the “Amount Block Reference Number “to the back office. On successful handoff, back office will make use of these “Amount Block Reference Number” to release the Amount Block done in the mid office (OBTFPMCS) and should debit the CASA account from the Back office. If multiple accounts are applicable, Amount Block Reference for all accounts to be passed to the back office.Exception is created when sufficient balance is not available for blocking the settlement account and the same can be addressed by the approver in the following ways:
- Settlement amount will be funded (outside of this process)
- Allow account to be overdrawn during hand-off
- Refer back to DE providing alternate settlement account to be used for block.
- Different collateral to be mapped or utilize lines in place of collateral.
Reject:
Reject the transaction due to non-availability of sufficient balance in settlement account
Amount Bock Exception
This section will display the amount block exception details.
Summary
- Main Details - User can view details about application details and LC details.
- Document Details - User can view document details.
- Shipment Details - User can view shipment details.
- Maturity Details - User can view the maturity details.
- Other Details - User can view the other details.
- Additional Fields - User can view the details of additional fields.
- Advices - User can view the advices.
- Limits and Collaterals - User can view the limits and collateral details.
- Commission, Charges and Taxes Details - User can view the details provided for charges, commission and taxes.
- Preview Messages - User can view the preview of the simulating message to the remitting bank.
- Payment Details - User can view the payment details.
- FX Linkage - User can view the FX Linkage details.
- Settlement Details - User can view the settlement details.
- Parties Details - User can view party details like applicant, advising bank etc.
- Compliance - User can view compliance details. The status must be verified for KYC and to be initiated for AML and Sanction Checks.
- Profit Details - User can view the profit details.
- Click Approve. to approve thw export booking amount bolck exception check.
For more information on Action Buttons, refer to the field description table below.
Table 3-30 Amount Bock Exception - Action Buttons - Field Description
Field | Description |
---|---|
Documents | View/Upload the required document. |
Remarks | Specify any additional information regarding the
collection. This information can be viewed by other users processing
the request.
Content from Remarks field should be handed off to Remarks field in Backend application. |
Overrides | Click to view the overrides accepted by the user. |
Customer Instruction | Click to view/ input the following
|
View Collection | Click to view the details of the collection. |
Reject | On click of Reject, user must select a Reject Reason
from a list displayed by the system.
Reject Codes are:
Select a Reject code and give a Reject Description. |
Refer | Select a Refer Reason from the values displayed by
the system.
Refer Codes are:
|
Hold | The details provided will be saved and status will be
on hold.User must update the remarks on the reason for holding the
task.
This option is used, if there are any pending information yet to be received from applicant. |
Approve | On approve, application must validate for all mandatory field values, and task must move to the next logical stage. If there are more approvers, task will move to the next approver for approval. If there are no more approvers, the transaction is handed off to the back end system for posting. |
Back | Task moves to previous logical step. |
Exception - Know Your Customer (KYC)
- Log in into OBTFPM application, KYC exception queue. KYC exception failed tasks for Trade Finance transactions will be listed in your queue.
- Open the task, to see summary tiles that display a summary of
available updated fields with values.
User can pick up a transaction and do the following actions:
Approve- After changing the KYC status in the back end application (outside this process).
- Without changing the KYC status in the back end application.
- Reject (with appropriate reject reason).
Figure 3-22 Exception - Know Your
Customer (KYC) Summary
Description of the illustration kycexceptionsummary.png
- Main Details - User can view details about application details and LC details.
- Document Details - User can view document details.
- Shipment Details - User can view shipment details.
- Maturity Details - User can view the maturity details.
- Other Details - User can view the other details.
- Additional Fields - User can view the details of additional fields.
- Advices - User can view the advices.
- Limits and Collaterals - User can view the limits and collateral details.
- Commission, Charges and Taxes Details - User can view the details provided for charges, commission and taxes.
- Preview Messages - User can view the preview of the simulating message to the remitting bank.
- Payment Details - User can view the payment details.
- FX Linkage - User can view the FX Linkage details.
- Settlement Details - User can view the settlement details.
- Parties Details - User can view party details like applicant, advising bank etc.
- Compliance - User can view compliance details. The status must be verified for KYC and to be initiated for AML and Sanction Checks.
- Profit Details - User can view the profit details.
For more information on Action Buttons, refer to the field description table below.
Table 3-31 Exception - Know Your Customer (KYC) Summary - Action Buttons - Field Description
Field | Description |
---|---|
Documents | View/Upload the required document. |
Remarks | Specify any additional information regarding the
collection. This information can be viewed by other users processing
the request.
Content from Remarks field should be handed off to Remarks field in Backend application. |
Overrides | Click to view the overrides accepted by the user. |
Customer Instruction | Click to view/ input the following
|
View Collection | Click to view the details of the collection. |
Reject | On click of Reject, user must select a Reject Reason
from a list displayed by the system.
Reject Codes are:
Select a Reject code and give a Reject Description. |
Refer | Select a Refer Reason from the values displayed by
the system.
Refer Codes are:
|
Hold | The details provided will be saved and status will be
on hold.User must update the remarks on the reason for holding the
task.
This option is used, if there are any pending information yet to be received from applicant. |
Approve | On approve, application must validate for all mandatory field values, and task must move to the next logical stage. If there are more approvers, task will move to the next approver for approval. If there are no more approvers, the transaction is handed off to the back end system for posting. |
Back | Task moves to previous logical step. |
Exception - Limit Check/Credit
- Log in into OBTFPM application, limit check exception queue. Limit check exception failed tasks for Trade Finance transactions must be listed in your queue.
- Click My Task. The summary tiles displays summary of important fields with values.
Limit check Exception approver can do the following actions:
- Limit enhanced in the back end (outside this process).
- Without enhancing limit in the back end.
- Refer back to DE providing alternate limit id to map
- Refer additional collateral to be mapped
Reject
The transaction due to non-availability of limits capturing reject reason.
Limit/Credit Check
This section will display the amount block exception details.
Summary
- Main Details - User can view details about application details and LC details.
- Document Details - User can view document details.
- Shipment Details - User can view shipment details.
- Maturity Details - User can view the maturity details.
- Other Details - User can view the other details.
- Additional Fields - User can view the details of additional fields.
- Advices - User can view the advices.
- Limits and Collaterals - User can view the limits and collateral details.
- Commission, Charges and Taxes Details - User can view the details provided for charges, commission and taxes.
- Preview Messages - User can view the preview of the simulating message to the remitting bank.
- Payment Details - User can view the payment details.
- FX Linkage - User can view the FX Linkage details.
- Settlement Details - User can view the settlement details.
- Parties Details - User can view party details like applicant, advising bank etc.
- Compliance - User can view compliance details. The status must be verified for KYC and to be initiated for AML and Sanction Checks.
- Profit Details - User can view the profit details.
Table 3-32 Exception - Limit Check/Credit - Action Buttons – Field Description
Field | Description |
---|---|
Documents | View/Upload the required document. |
Remarks | Specify any additional information regarding the
collection. This information can be viewed by other users
processing the request.
Content from Remarks field should be handed off to Remarks field in Backend application. |
Overrides | Click to view the overrides accepted by the user. |
Customer Instruction | Click to view/ input the following
|
View Collection | Click to view the details of the collection. |
Reject | On click of Reject, user must select a Reject
Reason from a list displayed by the system.
Reject Codes are:
Select a Reject code and give a Reject Description. |
Refer | Select a Refer Reason from the values displayed
by the system.
Refer Codes are:
|
Hold | The details provided will be saved and status
will be on hold.User must update the remarks on the reason for
holding the task.
This option is used, if there are any pending information yet to be received from applicant. |
Approve | On approve, application must validate for all mandatory field values, and task must move to the next logical stage. If there are more approvers, task will move to the next approver for approval. If there are no more approvers, the transaction is handed off to the back end system for posting. |
Back | Task moves to previous logical step. |
Parent topic: Export Documentary Collection Liquidation