2.3.6 Additional Details

This topic provides the systematic instructions to capture the additional details.

A Scrutiny user can verify/input/update the additional details Data Segment of the Islamic Import LC Amend request.

As part of Additional details section, Islamic LC Amend may have impact on the Limits, Collaterals and Charge section.

  1. On Additional Details screen, click View on any Additional Details tile to view the details.
  2. Click Save and Close to save the details and close the screen.
    Limits Details

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

    Table 2-16 Limit Details - Field Description

    Field Description
    View Link Click View link to view the limit details.
    Limit Details

    Click View link icon to view the Limit Details.

    Below fields are displayed on the Limit Details pop-up screen, if the user clicks View link.

    Customer ID Read only field.

    This field displays the applicant’s/applicant bank customer ID defaulted from the application.

    Linkage Type Read only field.
    T linkage type. Linkage type can be:
    • Facility
    • Liability
    Contribution % Read only field.

    System will default this to 100%.

    Once contribution % is provided, system will default the amount.

    System to validate that if Limit Contribution% plus Collateral% is equal to 100. If the total percentage is not equal to 100 application will display an alert message.

    Liability Number Read only field.

    This field displays the Liability Number.

    Contribution Currency Read only field.

    This field displays the contribution currency.

    Line ID/ Linkage Ref No Read only field.

    This field displays the Line ID from the various lines available and mapped under the customer id gets listed in the drop down. LINE ID-DESCRIPTION will be available for selection along with Line ID. When you click on 'verify', the system will return value if the limit check was successful or Limit not Available. If limit check fails, the outstanding limit after the transaction value will be shown in the limit outstanding amount.

    Note:

    User can also select expired Line ID from the lookup and on clicking the verify button, system should default “The Earmarking cannot be performed as the Line ID is Expired” in the “Response Message” field.

    This field is disabled and read only, if Linkage Type is Liability.

    Limit/ Liability Currency Read only field.

    Limit Currency will be defaulted in this field.

    Limits Description Read only field.

    This field displays the limits description.

    Limit Check Response Read only field.

    This field displays the limit check response.

    Amount to Earmark Read only field.

    Amount to earmark will default based on the contribution %.

    Expiry Date Read only field.

    This field displays the date up to which the Line is valid.

    Limit Available Amount Read only field.

    This field displays the value of available limit, i.e., limit available without any earmark. The Limit Available Amount must be greater than the Contribution Amount.

    Response Message Read only field.

    This field displays the detailed response message.

    ELCM Reference Number Read only field.

    This field displays the ELCM reference number.

    Limit Details grid Below fields appear in the Limit Details grid along with the above fields.
    Line Serial Read only field.

    Displays the serial of the various lines available and mapped under the customer id.

    View Click the link to view the Limit Details.
    Cash Collateral Details
    Collateral Percentage Read only field.

    System populates the Collateral % maintained in the Customer / Product for the counter party of the contract.

    Collateral Currency and amount Read only field.

    System populates the contract currency as collateral currency by default.

    Exchange Rate Read only field.

    System populates the exchange rate maintained.

    System validates for the Override Limit and the Stop limit if defaulted exchange rate is modified.

    View Click View link to view the existing collateral details.
    Cash Collateral Details pop-up screen Click + plus icon to add new collateral details.

    Below fields are displayed on the Cash Collateral Details pop-up screen, if the user clicks plus icon.

    Total Collateral Amount Read only field.

    This field displays the total collateral amount provided by the user.

    Collateral Amount to be Collected Read only field.

    This field displays the collateral amount yet to be collected as part of the collateral split.

    Sequence Number Read only field.

    The sequence number is auto populated with the value, generated by the system.

    Collateral Split %

    Read only field.

    Displays the collateral split% to be collected against the selected settlement account.

    Collateral Contribution Amount Read only field.

    Collateral contribution amount will get defaulted in this field. The collateral % maintained for the customer is defaulted into the Collateral Details screen. If collateral % is not maintained for the customer, then system should default the collateral % maintained for the product. User can modify the defaulted collateral percentage, in which case system should display a override message “Defaulted Collateral Percentage modified.

    Settlement Account Read only field.

    Displays the settlement account for the collateral

    Settlement Account Currency Read only field.

    This field displays the settlement account currency and will be auto-populated based on the Settlement Account.

    Exchange Rate Read only field.

    This field displays the exchange rate, if the settlement account currency is different from the collateral currency.

    Contribution Amount in Account Currency Read only field.

    This field displays the contribution amount in the settlement account currency as defaulted by the system.

    Account Available Amount Read only field.

    System populates the account available amount.

    Response Read only field.

    System populates the response.

    Response Message Read only field.

    System populates the response message.

    Cancel Click to cancel the entry.
    Cash Collateral Details grid Below fields appear in the Cash Collateral Details grid along with the above fields.
    Collateral % Read only field.

    Displays the percentage of collateral to be linked to this transaction. If the value is more than 100% system will display an alert message.

    The collateral % maintained for the customer is defaulted into the Collateral Details screen. If collateral % is not maintained for the customer, then system should default the collateral % maintained for the product.

    Contribution Amount Read only field.

    This field displays the collateral contribution amount.

    The collateral % maintained for the customer is defaulted into the Collateral Details screen. If collateral % is not maintained for the customer, then system should default the collateral % maintained for the product. User can modify the defaulted collateral percentage, in which case system should display a override message “Defaulted Collateral Percentage modified.

    Account Balance Check Response Read only field.

    This field displays the account balance check response.

    View Click View link to view the collateral details.
    Deposit Linkage Details

    In this section which the deposit linkage details is captured.

    System should allow the user to Link one or more existing Deposits as a contribution to secure underlying transactions. On Submit of DE stage, system will create Linkage of the Deposit/modification of existing Linkage by calling Back-office system (DDA) system directly.

    Click + plus icon to add new Deposit Linkage details.

    Note:

    New deposit linkage is added in active Import LC amendment (with/without beneficiary confirmation) and amendment where LC status is “closed” and the LC is being reopened (with/without beneficiary confirmation).

    Below fields are displayed on the Deposit Linkage Details pop-up screen, if the user clicks plus icon.

    Customer ID Click Search to search and select the customer ID .
    Deposit Account Click Search to search and select deposit for linkage from the look-up.

    All the Deposits of the customer should be listed in the look-up search.

    User should be able to select the deposit for linkage.

    Deposit Branch This field displays the deposit branch which will be auto-populated based on the deposit account selection.
    Deposit Available Amount This field displays the deposit available amount which is auto-populated based on the deposit account selection.
    Deposit Maturity Date This field displays the maturity date of deposit based on the Deposit Account selection.
    Exchange Rate This field displays the latest exchange rate for deposit linkage.

    This will be picked up from the exchange rate maintenance from the common core.

    Deposit Available In Transaction Currency This field displays the deposit amount available, after exchange rate conversion, if applicable.
    Linkage Percentage % Specify the value for linkage percentage.
    Linkage Amount (Transaction Currency) System to default the transaction amount user can change the value.

    System validates the linking amount with available Deposit balance and should not allow to link more than the available amount.

    Below fields appear in the Deposit Details grid along with the above fields.
    Deposit Currency The currency will get defaulted in this field.
    Transaction Currency The currency will get defaulted in this field from the underlying task.
    Edit Click edit link to edit the deposit linkage details.
  3. Click Save and Close to save the details and close the screen.
    The Commission, Charges and Taxes screen is displayed.

    Figure 2-19 Split Settlement Details



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

    Table 2-17 Commission, Charges, Taxes - Field Description

    Field Description
    Commission Details This section displays the commission details.

    By default, all the charges, commission and margin are collected from the counter-party.

    Component Displays the commission component.

    Click the link to view the commission component details.

    Rate Displays the rate that is defaulted from product.

    The commission rate, if available in Back Office defaults in OBTFPM. The user is able to change the rate.

    If flat commission is applicable, then commission amount defaulted from back office is modifiable by the user. Rate field will be blank and the user cannot modify the Rate field.

    Mod. Rate From the default value, if the rate is changed the value gets updated in this field.
    Currency Displays the currency in which the commission have to be collected.
    Amount Displays the amount that is maintained under the product code.

    The commission rate, if available in Back Office defaults in OBTFPM. The user is able to change the rate, but not the commission amount directly. The amount gets modified based on the rate changed and the new amount is calculated in back office based on the new rate and is populated in OBTFPM.

    If flat commission is applicable, then commission amount defaulted from back office is modifiable by the user. Rate field will be blank and the user cannot modify the Rate field.

    Modified From the default value, if the amount is changed, the value gets updated in the modified amount field.
    Defer Switch to Enable for charges/commissions has to be deferred and collected at any future step.
    Waive Switch to Enable to waive the charges/commissions.

    Based on the customer maintenance, the charges/commission can be marked for Billing or Defer.

    If the defaulted Commission is changed to defer or billing or waive, system must capture the user details and the modification details in the ‘Remarks’ place holder.

    Split Switch to Enablefor splitting the Commission.

    Switch to Disableif splitting of commission is not required.

    Charge Party Charge party is 'Applicant' by default. User can change the value to Beneficiary.
    Settl. Account The settlement account.
    Amend Displays if the field is amendable or not.
    Charge Details This section displays the charge details.
    Component Displays the charge component type.
    Tag Currency Displays the tag currency in which the charges have to be collected.
    Tag Amount Displays the tag amount that is maintained under the product code.
    Currency Displays the currency in which the charges have to be collected.
    Amount This field displays the amount that is maintained under the product code.
    Modified From the default value, if the rate is changed or the amount is changed, the value gets updated in the modified amount field.
    Billing Switch to Enableto make the details available for billing engine for further processing, if charges are handled by separate billing engine.

    On simulation of charges/commission from Back Office, if any of the Charges/Commission component for the customer is ‘Billing’ enabled, ‘Billing’ toggle for that component should be automatically enabled in OBTFPM.

    The user can not enable/disable the option, if it is de-selected by default.

    This field is disabled, if ‘Defer’ toggle is enabled.

    Defer Switch to Enableto defer the charges and collect at any future step.

    On simulation of charges/commission from Back Office, if any of the Charges/Commission component for the customer is AR-AP tracking enabled, ‘Defer’ toggle for that component should be automatically checked in OBTFPM.

    The user can enable/disable the option the check box. On de-selection the user has to click on ‘Recalculate’ charges button for re-simulation.

    Waive Switch to Enableto waive the charges.

    Based on the customer maintenance, the charges should be marked for Billing or for Defer.

    This field is disabled, if Defer toggle is enabled.

    Split Switch to Enablefor splitting the Commission.

    Switch to Disable, if splitting of commission is not required.

    Charge Party Displays the charge party. By default the charge party is ‘Applicant’.
    Settlement Account Click Search icon to search and select the settlement account.
    Tax Details This section displays the tax details.

    The tax component is calculated based on the commission and defaults if maintained at product level. User cannot update tax details and any change in tax amount on account of modification of charges/ commission will be available on click of Re-Calculate button or on hand off to back-end system.

    Component Displays the tax component.
    Type Displays the type of tax component.
    Value Date Displays the value date of tax component.
    Ccy Displays the currency in which the tax have to be collected.

    The tax currency is the same as the commission.

    Amount Displays the tax amount based on the percentage of commission maintained.

    The user can edit the tax amount, if applicable.

    Billing Switch to Enableto make the details available for billing engine for further processing, if taxes are handled by separate billing engine.

    This field is disabled, if ‘Defer’ toggle is enabled.

    Defer Switch to Enableto defer the taxes and collect at any future step.

    Switch to Disableif you do not want to defer the taxes.

    On disabling the user has to click on ‘Recalculate’ charges button for re-simulation.

    Settl. Account System defaults the settlement account.

    The user can modify the settlement account.

    Split Settlement This section displays the Split Settlement.

    This section is displayed if the user clicks on the Recalculate button to fetch the Split Settlement details from Backoffice.

    The default parties in Split row should be fetched from OBTF.

    Select The option to select the split settlement record.
    Component Displays the split component type eligible for Split .
    Currency Displays the currency of split settlement.
    Amount Displays the amount of split settlement.
    Split Settlement Details This section displays the Split Settlement details. Split Settlement details section appears from Back office, when the user clicks on the Recalculate button.
    Seqence Displays the sequence number is auto populated with the value, generated by the system.
    Component Displays the split component type eligible for Split.
    Amount The system splits the respective Charge/Commission amount automatically between counter party and third party with 50% value by default.

    The bank user can modify the amount.

    More than two splits are not allowed.

    Customer Indicates the ID of the Customer in Split Settlement Details section.
    GL Account The system defaults the GL account.
    Account The system defaults the Settlement account.

    User can modify the settlement account. System initiates a call to common core tables within OBTFPM to select the account.

    Account Currency This field defaults the currency of the account.
    Branch Indicates the branch of the customer where transaction is getting processed.
    Percentage The system splits the respective Charge/Commission percentage automatically between counter party and third party with 50% value by default.

    More than two splits are not allowed.

    The bank user can modify the amount.

    The system should validate that the total percentage of each component doesn't exceed 100 and the total amount of each component doesn't exceed total component amount.

    Exchange Rate System populates the exchange rate maintained.
    Original Exchange Rate Displays the Original Exchange Rate as simulated in split settlement details section.
    Party Type Displays the party type in split settlement details section.
    Negotiation Reference Specify the negotiation reference number.
    AR-AP Tracking Indicates to defer the charge/ commission in Split Settlement Details section.

    The user can modify the AR-AP Tracking flag as per the requirements.

    Loan/Finance Account Displays the loan account.
    Negotiation Rate Displays the negotiation rate.
    Negotiation Reference Displays the negotiation reference.
  4. Click Save and Close to save the details and close the screen.
    FX Linkage
    Following are the conditions of FX Linkage:
    • If any LC Amendment is pending for beneficiary confirmation with FX changes, then the system, will not allow another amendment on this contract further.
    • FX request will be processed in external system, only after successful amendment confirmation has been done.
    • Sum of Linked amount will not be greater than LC contract amount. Linked amount will not be greater than the available amount for linkage.
    • Delink of linked FX or Reduction of linked amount from the LC is allowed if the same is not attached to any Bills.
    • Reduction of LC contract amount with FX, through LC amendment will be restricted, when the contract amount goes below the FX linkage amount. User will be intimated with the message
    Description of fxlinkagedetails.png follows
    Description of the illustration fxlinkagedetails.pngDescription of fxlinkagedetails1.png follows
    Description of the illustration fxlinkagedetails1.png

    Table 2-18 FX Linkage - Field Description

    Field Description
    FX Linkage pop-up screen

    Below fields are displayed on the FX Linkage pop-up screen, if the user clicks the plus icon.

    FX Reference Number Click Search to search and select the FX contract reference number.
    On select and save and close, system defaults the available amount, bot currency, sold currency and rate. Forward FX Linkage available for selection at bill would be as follows,
    • Counterparty of the FX contract should be the counterparty of the Bill contract.
    • Active Forward FX transactions authorized not marked for auto liquidation.

    Bill contract currency should be BOT currency of the FX transaction in case of an export Bill or the SOLD currency in case of an Import Bill.

    Currency Read only field.

    This field displays the FX SOLD currency from the linked FX contract.

    Contract Amount This field displays the FX SOLD currency and Amount. The user can change the currency.
    Available FX Contract Amount Read only field.

    This field displays the available FX contract amount.

    The value is from the “Available Amount” in FXDLINKG screen in OBTR.

    Available Amount SOLD currency and Amount is displayed.

    Linkage Amount System defaults the amount available for linkage.

    The Linkage amount should default the LC Contract Currency and allowed to change the linkage amount alone.

    The validation “Sum of Linked amount will not be greater than contract amount” or “Linkage amount will not be greater than the available amount for linkage” should be triggered on save of the FX linkage screen when trying to link the single FX or multiple FX.

    Rate Read only field.

    This field displays the rate at which the contract is booked.

    FX Amount in Local Currency Read only field.

    This field displays the FX amount in local currency.

    The value is defaulted as FX BOT currency and Amount from FXDTRONL

    FX Expiry Date Read only field.

    This field displays the expiry date from the linked FX contract.

    FX Delivery Period - From Read only field.

    This field displays the date from which the contract is valid for utilization.

    FX Delivery Period - To Read only field.

    This field displays the date to which the contract is valid for utilization.

    FX Linkage grid Below fields appear in the FX linkage grid along with the above fields.
    Bought Currency Read only field.

    This field displays the currency from the linked FX contract.

    Sold Currency Read only field.

    This field displays the currency from the linked FX contract.

    Available Contract Amount Read only field.

    Available amount will be FX contract amount minus the linked amount. Available amount for linkage should be greater than Zero.

    Linked Amount Sum of Linked amount will not be greater than LC contract amount.

    Linked amount will not be greater than the available amount for linkage.

    Total Utilized Amount Read only field.

    This field displays the total amount utilized against the corresponding linked FX.

    On query, both Utilized and Total Utilized amount holds the amount of latest version.

    The value is Total Utilized Amount SOLD currency and Amount for Import LC/Guarantee Issuance from FXDLINKG .

    Average FX Rate Read only field.

    Multiple forward FX contract could be linked,and exchange rate of FX contract vary from each. Hence, effective exchange rate for bill would be arrived using weighted average method and it is utilized during purchase/negotiation/discount or liquidation of the bill. This will be populated in the Average FX Rate.

    Action Click Edit icon to edit the FX details.

    Click Delete icon to delete the FX details.

  5. Click Save and Close to save the details and close the screen.
  6. Click Next.
    The task will move to next data segment. For more information on action buttons, refer to the field description table below.

    Table 2-19 Additional 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 Click to 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 amendment. 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 Instructions 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, OBTFPM user can input any Customer Instructions received as part of transaction processing. This section will be enabled only for customer initiated transactions.
    Incoming Message This button displays the multiple messages (MT760 + up to 7 MT761.

    In case of MT798, the User can click and view the MT798 message(770,700/701).

    View LC Click to view the details of the LC.
    Signature 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 available, system should display all the signatures.

    Request Clarification 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 Scrutiny 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.
    Checklist Click to view the list of items that needs to be completed and acknowledge. If mandatory checklist items are not selected, system will display an error on submit.