2.3.3 Other Details

This topic provides the systematic instructions to capture the other details like Shipping guarantee Reference, Credit Value Date, Debit Value Date, Other Bank charges etc.

Other Details enables the user to validate the other details for Islamic Import Collection Booking Update.
  1. On Other Details screen, specify the fields that were not entered at Registration stage.

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

    Table 2-11 Other Details - Field Description

    Field Description
    Shipping Guarantee Reference Specify the Shipping Guarantee Reference details.
    Shipping Guarantee Reference Shipping Guarantee Reference is auto populated from the underlying Shipping Guarantee details, if the Transport Reference Number in the Collection document is same as the Transport Document reference in the Shipping Guarantee.

    Click Search to search and select the Shipping Guarantee Reference

    Transport Document Reference Transport Document Reference is auto populated from the underlying Shipping Guarantee details.

    System validates the Shipping Guarantee Transport Document reference number with Transport Document Reference number in a Bill, if user manually provides the Shipping Guarantee detail.

    Transport Document Date Transport Document Date is auto populated based on the date provided in Bill, which is linked with the Shipping Guarantee.
    Amount Shipping Guarantee amount is displayed in this field.
    Action Click Edit icon to edit the shipping guarantee details.

    Click Delete icon to delete the shipping guarantee details.

    Other Details
    Debit Value Date Specify the debit value date
    Credit Value Date Specify the credit value date.
    Value Date Specify the value date.
    Sender to Receiver MT412 Click the edit icon and specify the additional information in Line 1-6 and click Save & Close to save the changes.The user can edit the details by clicking the edit icon.
    Other Bank Charges Specify the other bank charges based on the description in the following table.
    Other Bank Charges - 1 Charges to be collected for the other bank as part of the collection transaction.
    Other Bank Charges - 2 Charges to be collected for the other bank as part of the collection transaction.
    Other Bank Charges - 3 Charges to be collected for the other bank as part of the collection transaction.
    Other Bank Description - 1 The description of charges to be collected for the other bank as part of the drawings transaction.
    Other Bank Description - 2 The description of charges to be collected for the other bank as part of the drawings transaction.
    Other Bank Description - 3 The description of charges to be collected for the other bank as part of the drawings transaction.
    Other Bank Profit Specify the Profit details to be captured as a part of “Other Bank Profit” details section
    Start Date Specify the date from which the system starts calculating the Interest, if other bank interest details not captured in the bill.

    If other bank interest details are already captured in the bill, this field is non-editable.

    Other Bank Profit -1, 2 and 3 Specify the Other Bank Profit -1, 2 and 3 details.
    Component This field displays the name of the profit Component.
    Component Description Specify the description of the profit component.
    Profit Rate Specify the rate to be applied for the profit component, if other bank profit details not captured in the bill.

    If other bank interest details are already captured in the bill, this field is non-editable.

    Profit Basis Select the calculation basis on which the profit to be computed from the drop-down list, if other bank profit details not captured in the bill. If other bank interest details are already captured in the bill, this field is non-editable.
    Waive Select whether the interest to be waived off, if other bank interest details not captured in the bill. If other bank profit details are already captured in the bill, this field is non-editable.

    The options are:

    • Yes
    • No
  2. Click Next.
    The task will move to next data segment.

    For more information on action buttons, refer to the field description table below.

    Table 2-12 Other Details - Action Buttons - Field Description

    Field Description
    Clarification Details Clicking the button opens a detailed screen, user can see the clarification details in the window and the status will be Clarification Requested.
    Documents View/Upload the required document.

    Application displays the mandatory and optional documents.
    The user can view and input/view application details simultaneously.
    When a user clicks on the uploaded document, Document window get opened and on clicking the view icon of the uploaded document, Application screen should get split into two. The one side of the document allows to view and on the other side allows to input/view the details in the application

    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
    • Standard Instructions – In this section, the system will populate the details of Standard Instructions maintained for the customer. User will not be able to edit this.
    • Transaction Level Instructions – In this section, OBTFPMCS user can input any Customer Instructions received as part of transaction processing. This section will be enabled only for customer initiated transactions.
    Common Group Messages Click to send MT799 and MT999 messages from within the task.
    Incoming Message Clicking this button allows the user to view the incoming SWIFT message MT730.
    View Collection Enables the user to view the latest collection values displayed in the respective fields.
    Signatures Click the Signature button to verify the signature of the customer/ bank if required.

    The user can view the Customer Number and Name of the signatory, Signature image and the applicable operation instructions if any available in the back-office system.

    If more than one signature is required, system should display all the signatures.

    Request Clarification User can specify the clarification details for requests received online.
    Save & Close Save the details provided and holds the task in ‘My Task’ queue for further update. This option will not submit the request.
    Cancel Cancel the Data Enrichment stage inputs. The details updated in this stage are not saved. The task will be available in 'My Task' queue.
    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.

    Reject On click of Reject, user must select a Reject Reason from a list displayed by the system.

    Reject Codes are:

    • R1- Documents missing
    • R2- Signature Missing
    • R3- Input Error
    • R4- Insufficient Balance/Limits
    • R5 - Others

    Select a Reject code and give a Reject Description.
    This reject reason will be available in the remarks window throughout the process.

    Refer Select a Refer Reason from the values displayed by the system.

    Refer Codes are:

    • R1- Documents missing
    • R2- Signature Missing
    • R3- Input Error
    • R4- Insufficient Balance/Limits
    • R5 - Others
    Back On click of Back, system moves the task back to previous data segment.
    Next On click of Next, system validates if all the mandatory fields have been captured. Necessary error and override messages to be displayed. On successful validation, system moves the task to the next data segment.