·
CIF
|
|||
Checking existence of duplicate CIF
|
CDEDUP
|
· Click on Go
· Give required parameters
· Click on Proceed
· System will
show the list of CIFs as per the criteria specified.
|
|
Creation of CIF
|
CCRC / CIFCR
|
· Function – Add
· Click on Go
· Title – Select from searcher
· First Name – Give surname
· Last Name – Give name
· Father name
· Tax status – Select from searcher based on tax status
of the customer
· Date of Birth – DD-MM-YYYY
· Pan Card No. – Give pan no. if tax status is selected
as Pan Card
· Gender – Click on relevant Radio Button
· Income – Give Amount
· Income Type – Select from drop down menu
· Occupation Type – Select from drop down menu
· Doc Type - Select code as relevant from searcher
· Doc Code – Select code as relevant from searcher. (If UID then UID
Auth must – click on
radio button Yes / No)
· Unique ID – Give ID no.
· If more
documents then click on expand button
· Address details in lines 1, 2, 3 (When address is given in the line 1,
using tab move on next field,
system will automatically populate
Address Valid From and Country fields)
· Address valid from – Give date from which customer is
staying on the address
· Type Pin Code and City and State fields are auto
populated
· TDS Table Code – Select from searcher based on Tax
Status of the customer
· Primary Relationship Manager ID - CIFRM
· Click on Submit for verification.
· Note the
CIF ID
|
|
Modification Before Verification
|
CCRC / CIFCR
|
· Function – Reject (By Supervisor)
· Click on Submit
· User to amend details by choosing Menu Shortcut –
CCRC / CIFCR;
Function – Modify
|
|
Verification of CIF Creation
|
CCRC / CIFCR
|
· Function – Verify
· CIF ID
· Click on Go
· Click on Submit
|
|
Modification after verification or modification in
existing CIF ID
|
CMRC / CIFMD
|
· Function – Modify
· Make the necessary amendment
· Click on Submit for verification
· Supervisor to verify – Menu CMRC / CIFMD ; Function –
Verify
|
|
Death of a customer
|
CMRC / CIFMD
|
· Function – M – Modify
· CIF ID
· Click on Go
· Customer Status – Click on Radio Button Deceased
· Date of Death – Give date of death of the customer
· Click on Submit to Verify
· Supervisor to verify – Menu Shortcut – CMRC / CIFMD ;
Function – Verify
· Note:
System will automatically suspend the CIF
|
|
Suspension of CIF
|
CMRC / CIFMD
|
· Function – S – Suspend
· CIF ID
· Reason Code – Select from Searcher
· Click on Go
· Click on Submit to Verify
· Supervisor to verify – Menu Shortcut – CMRC / CIFMD ;
Function – Verify
· Similarly
Un-suspend the CIF – Choose Function – U – Unsuspend
|
|
Merger of CIF
|
HCCA
|
· Function – Modify
· Account no. which
is to be transferred
· Click on Go
· New CIF ID – Give new CIF ID under which the a/c is
to be transferred
· Change name if need be ( In case of death of primary
a/c holder
or certificate transfer cases)
· Reason Code – Select from searcher
· Click on Submit for verification
· Supervisor to verify – Menu Shortcut – HCCA ;
Function – Verify
|
|
CIF Search
|
HCRV
|
· Give CIF ID
· Click on Go – System will fetch the name
· Click on Go
· System will show CIF details
· Click on Account tab
· Click on Go
· System will
show list of all accounts attached to the CIF
|
|
Inquiry on Customer
|
HCUDET
|
· CIF ID
· Click on Go
|
|
· Viewing /
Printing Reports
|
|||
How to print or view reports
|
HPR
|
· Click on Go
· Click on Go
· Select report by checking the box
· Click on Print in case report is to printing
· Click on Print Screen for viewing the document
|
|
· SB A/c
|
|||
Opening a new SB A/c
|
CASBAO/QDESA
|
· Function – Open
· CIF
· Scheme Code – Select from searcher
· Click on Go
· Mode of Operation - Select from Searcher
· No. of Docs – Give the number of documents taken from
the customer and accordingly give the document details.
· Doc Code – Select from searcher
· Doc Date – Give the date on the document
· Click on Submit for Verification
· Note the
A/c No.
|
|
Modification Before Verification
|
CASBAOM/QDEMSABV
|
· Function – Modify
· A/c ID – Give the newly opened a/c no.
· Click on Go
· Make the necessary amendment
· Click on Submit for verification
|
|
Verification of SB a/c opening
|
CASBAV/QDESAVF
|
· Function – Verify
· Temporary A/c ID – Give the newly opened a/c no.
· Click on Go
· Click on Submit
|
|
Modification after verification or modification in
existing CIF ID
|
CASBAM/QDEMSA
|
· Function – Modify
· A/c ID
· Click on Go
· Make the necessary amendment
· Click on Submit for verification
· Supervisor to verify – Menu Shortcut – CASBAM/QDEMSA ;
Function – Verify
|
|
Funding of the Account
|
CTM
|
· Function – Add
· Function Type – Deposit
· Click on Go
· A/c Id
· Amount
· Click on Post
· Note the
Tran ID
· Supervisor to Verify – Menu Shortcut – CTM ; Function
V– Verify
|
|
CXFER
|
· Function – Add
· Click on Go
· Dr A/c ID
· Verify Signatures
· Cr A/c ID
· Amount
· Mode of Transaction – Cheque / Withdrawal Slip
· If cheque then update cheque date & cheque no.
· Check Mode of Operation
· Click on Post
· Note the
Tran ID
· Supervisor to Verify – Menu Shortcut – CXFER ;
Function V– Verify
|
||
Printing of Pass Book
|
HPBP
|
· A/c ID
· Print
· If continue
print then choose Modify
|
|
Closing of Account
|
HCAAC / CLOSE
|
· Function –Z
· A/c ID – SB A/c to be closed
· Balance – Check Transfer Box if Balance is there /
Uncheck Transfer Box if Balance is zero
· Transaction Type – If Balance Transfer Box is
checked, Select Cash or Transfer
· Transfer A/c ID – Another SB A/c or Post Master
Cheque A/c if Transfer selected in Transaction Type
· Click on Go
· Click on Closure Tab
· Note the Tran ID
· System will
do the validation checks like unused cheque leaves, Standing Instructions,
Credit A/c etc. Act on these validations and then close the a/c
· Select Reason Code from the searcher
· Click on Submit to Verify
· Supervisor to Verify – Menu Shortcut – HCAAC/CLOSE;
Function – V – Verify.
|
|
Find out the new account for old account
|
CNAC
|
· SOL ID_A/c Type_Old A/c No.
· Click on Submit
|
|
Changing the status of the customer from Minor to
Major
|
HCBM
|
· Report To – Type name or designation of the person to
whom report is to be given
· Change Status to Major – N
· Select Date Range
· Click on Submit
· HPR to view report
· Customer
Modification:
o
CIF Modification
– Change Minor Flag
o
A/c Modification
– Mode of Operation, Document Details
|
|
A/c Balance Inquiry
|
HACCBAL
|
· A/c ID
· Click on Go
· Click on Go
|
|
A/c Transaction Enquiry
|
HACLI
|
· A/c ID
· Click on Go
· Click on Go
|
|
Account Details Enquiry
|
HACCDET
|
· A/c ID
· Click on Go
· Click on Go
|
|
· Inventory
Management
|
|||
Add Inventory – CSD to HO
|
HIMC
|
· Function – Add
· Click on Go
· From Location Class – ZZ
· From Location Code – EXT
· To Location Class – DL
· To Location Code – DL
· Click on Accept
· Select Inventory Class / Type – from searcher
· Inventory Alpha
· Start No.
· End No.
· Validate
· If another inventory is to be added then click on Add
otherwise Click on Submit
· Note
Inventory Tran ID
· Function – Verify (Custodian to Verify)
· Inventory Tran ID – Give inventory tran ID to be
verified
· Click on Authorize Details Tab
· Click Authorizer button against which is written Not
Authorized
· Custodian to give password
· Repeat above step for another Authorizer if any
· Click on Submit
|
|
Add Inventory HO to SO
|
HCCS
|
· HO to do
this function
· Select New Context Sol ID from the searcher
· Click on Submit
· No
verification required
|
|
HIMC
|
· HO to do
this function
· Function – Add
· Click on Go
· From Location Class – ZZ
· From Location Code – EXT
· To Location Class – DL
· To Location Code – DL
· Click on Accept
· Select Inventory Class / Type – from searcher
· Inventory Alpha
· Start No.
· End No.
· Validate
· If another inventory is to be added then click on Add
otherwise Click on Submit
· Note
Inventory Tran ID and send stationery to SO
· SO User
/ Custodian will verify upon receipt of stationery from HO
· Menu Shortcut – HIMC
· Function – Verify
· Inventory Tran ID - Give inventory tran ID to be
verified
· Click on Authorize Details Tab
· Click Authorizer button against which is written Not
Authorized
· Custodian to give password
· Repeat above step for another Authorizer if any
· Click on Submit
|
||
Add Inventory SO / HO to Employee
|
HIMC
|
· Function – Add
· Click on Go
· From Location Class – DL
· From Location Code – DL
· To Location Class – EM
· To Location Code – Employee ID
· Click on Accept
· Select Inventory Class / Type – select from searcher
· Inventory Alpha
· Start No.
· End No.
· Validate
· If another inventory is to be added then click on Add
otherwise Click on Submit
· Note
Inventory Tran ID
· Function – Verify
· Inventory Tran ID - Give inventory tran ID to be
verified
· Click on Authorize Details Tab
· Click Authorizer button against which is written Not
Authorized
· Custodian to give password
· Repeat above step for another Authorizer if any
· Click on Submit
|
|
Split Inventory – Own Location
|
HISAI
|
· Function – Split (Note
– employee ID will be frozen)
· Select Inventory Class / Type – from searcher
· Click on Go
· Items Per Unit – No. of Leaves in a cheque book
· No. of Units – No. of Cheque Books
· Note the
multiplication of above 2 should be equal to total
no. of leaves being split
· This entry
is NOT required to be verified.
|
|
Split Inventory – Other Location
|
HISIA
|
· Function – Split
· Employee ID
· Select Inventory Class / Type
· Click on Go
· Items Per Unit – No. of Leaves in a cheque book
· No. of Units – No. of Cheque Books
· Note the
multiplication of above 2 should be equal to total
no. of leaves being split
· Click on Submit
· This entry
is NOT required to be verified.
|
|
Merge Inventory – Own Location
|
HIMAI
|
· Function – Merge (Note
– employee ID will be frozen)
· Select Inventory Class / Type
· Inventory Serial No.
· Click on Go
· See Cheque Details
· Click on Submit
· This entry
is NOT required to be verified.
|
|
Merge Inventory – Other Location
|
HIMIA
|
· Function – Merge
· Select Inventory Class / Type
· Employee ID
· Inventory Serial No.
· Click on Go
· See Cheque Details
· Click on Submit
· This entry
is NOT required to be verified.
|
|
· Cheque Book
Maintenance
|
|||
Issue Across the Counter Cheque Book
|
HICHB / HICHBA
|
· Function – Issue
· Ack. Obtained – Yes
· A/c ID
· Cheque Type - CHQ
· Click on Go
· Cheque With
– Note: It is important to check the employee code here
· Select Cheque Book (FIFO Method) by checking the box
· Note: More
than one cheque-book can be issued to the customer by checking more than one
box.
· Click on Submit for Verification
· Supervisor to verify – Menu Shortcut – HICHB/HICHBA ;
Function – Verify
|
|
Enquiry of Cheque Book
|
HCHBI
|
· Function – Inquiry
· A/c ID
· Click on Go
· View Details by clicking in expand icon
· See the individual cheque status
|
|
· Lien
Maintenance
|
|||
Marking Lien on A/c
|
HALM
|
· Function – Add
· A/c ID
· Click on Go
· New Lien Amount – Give the amount to be blocked
· From Effective Date – today’s date
· Lien Reason – Select from searcher
· Click on Submit to Verify
· Supervisor to verify – Menu Shortcut – HALM ;
Function – Verify
· Note to
show the effect on a/c balance in HACLI and show the
lien amount in HACCBAL
|
|
Removing Lien on A/c
|
HALM
|
· Function – Modify
· A/c ID
· Click on Go
· Amount - 0
· Click on Submit to Verify
· Supervisor to verify – Menu Shortcut – HALM ;
Function – Verify
· Note to
show the effect on a/c balance in HACLI and show the
lien amount in HACCBAL
|
|
· Freezing of
A/c
|
|||
Freezing of A/c
|
HAFSM
|
· Function – Freeze
· A/c ID
· CIF ID (Note:
you can freeze all a/cs under a CIF by giving only
the CIF ID and not giving
the A/c ID)
· Freeze Code – Total / Debit / Credit
· Freeze Reason Code from the searcher
· Click on Go
· Check box the a/c for which freeze to be placed.
· Click on Submit for verification
· Supervisor to verify –Menu Shortcut – HAFSM ;
Function – Verify
|
|
Unfreezing of A/c
|
HAFSM
|
· Function – Unfreeze
· CIF ID / A/c ID
· Select A/c from the cheque box
· Click on Submit for verification
· Supervisor to verify – Menu Shortcut – HAFSM ;
Function – Verify
|
|
· Stop
Payment of Cheque
|
|||
Marking Stop Payment of Cheque
|
HSPP/CHSTOP
|
· Function – Stop Pay
· A/c ID
· Begin Chq. No.
· No. of Leaves (Note:
You can mark a stop payment of more than
one cheque but all cheques should be
in series)
· Click on Go
· Payee Name - Optional
· Cheque Amt - Optional
· (Note –
Payee Name and Cheque Amt need not be given in case of
stop payment of cheque
series)
· Reason Code – select from searcher
· Click on Submit for verification
· Note: Show
the implication of posting a debit transaction using the stopped cheque
|
|
Verification of Stop Payment
|
HSPPAU
|
· Supervisor to verify
· Function – Verify
· A/c ID
· Click on Submit
· Note: Show
the implication of posting a debit transaction using the stopped cheque
|
|
Revoking Stop Payment of Cheque
|
HSPP/CHSTOP
|
· Function – Revoke Stop Pay
· A/c ID
· Begin Chq. No.
· Click on Submit for verification
|
|
Verification of Stop Payment
|
HSPPAU
|
· Supervisor to verify
· Function – Verify
· A/c ID
· Click on Submit
|
|
Stop Payment Letter Generation
|
HPR
|
· Show the stop payment letter generated by the system
|
|
Stop Payment Report
|
HSPRG/CHSTPR
|
· Report To – Give the name or designation of the
person to whom report
is to be given
· From Date
· To Date
· Status – Stop Pay or Revoke Stop Pay – select
appropriately
· Click on Submit
|
|
· Standing
Instructions Maintenance
|
|||
SI Maintenance
|
HSSIM/HSIM
|
· Function – Add
· Click on Go
· CIF ID
· SI Frequency – Monthly
· Date - Select
from 1 – 31
· Holiday – N
· Next Execution Date
· Click on Instruction Details Tab
· CCY – INR
· A/c ID
· Debit / Credit – Click on Debit radio Button
· Amt Type - Fixed
· Amt – SI Amount
· Click on Add
· A/c ID
· Debit / Credit – Click on Credit radio Button
· Amt Type - Fixed
· Amt – SI Amount
· Click on Submit for Verification
· Note SI
Serial No.
· Supervisor to verify – Menu Shortcut – HSSIM/HSIM ;
Function – Verify
|
|
· Vault
Transaction
|
|||
Cash Advance From Treasurer
|
HTM
|
· Function Code – Add
· Transaction Type / Subtype: C/CT
· Record – 1 screen will appear
· Dr A/c – PA Cash A/c
· Dr Amount – Amount of cash advance
· Click on Add
· Record – 2 screen will appear
· Cr A/c – Vault A/c
· Cr Amount (Or click on Contra Amount Button)
· Post to Verify – Note
Tran ID
· Supervisor to Verify – Menu Shortcut – HTM ; Function
Code – Verify
|
|
Cash Submit To Treasurer
|
HTM
|
· Function Code – Add
· Transaction Type / Subtype: C/CT
· Record – 1 screen will appear
· Dr A/c – Vault A/c
· Dr Amount – Amount of cash submitted
· Click on Add
· Record – 2 screen will appear
· Cr A/c – PA Cash A/c
· Cr Amount (Or click on Contra Amount Button)
· Post to Verify – Note
Tran ID
· Supervisor to Verify – Menu Shortcut – HTM ; Function
Code – Verify
|
|
· Rectification
of Wrong Posting
|
|||
Rectification of Wrong Cash Deposit (eg. Amount ‘X’
is posted as Amount ‘Y’
|
CTM
|
· Wrong
Entry:
· Amount Y would already have been posted in the
customer a/c.
Menu Shortcut – CTM; Function – Add; Function Type – Deposit
· Reversal
Entry:
· Menu Shortcut – CTM
· Function – Add
· Function Type – Withdrawal
· A/c ID where wrong entry was posted
· Amount – Y
· Tran Particulars: Reversal of Wrong Cash Deposit
· Post
· Note the
Tran ID
· Supervisor to Verify – Menu Shortcut – CTM ; Function
V– Verify
· Correct
Entry:
· Menu Shortcut – CTM
· Function – Add
· Function Type – Deposit
· A/c ID
· Amount – X
· Post
· Note the
Tran ID
· Supervisor to Verify – Menu Shortcut – CTM ; Function
V– Verify
|
|
· Office A/c
|
|||
Parking of Unposted Amount where Credit a/c no. is
wrong
|
CTM in case of cash /
CXFER in case of a/c transfer
|
· Function – Add
· Function Type – Deposit / Withdrawal
· Click on Go
· A/c No. – Sundry A/c (in CXFER give this as credit
a/c ID)
· Amount
· Transaction Particulars – Give suitable narration so
that the entry can
be identified at the time of reversal
· Option – G – Partitioning Details
· Partitioning A/c ID – Ref A/c ID of Teller / Cust.
A/c ID
· Post – Note
Tran ID
· Supervisor to Verify – Menu Shortcut – CTM / CXFER ;
Function – Verify
|
|
Reversal of Funds
|
HTM
|
· Function Code – Add
· Transaction Type / Sub-Type – T/CI
· Click on Go
· Record 1 screen will appear
· Debit A/c ID – Sundry A/c ID
· Restore Values – A – Additional Part Tran Details –
Click on Go
· Click Go on next screen
· List of records of the same amount will appear
· Select the right record by checking the box
· Click on Accept
· Restore Values – G – Partitioning Details – Click on
Go
· Entity ID – Teller a/c id of person reversing the
entry
· Click on Accept
· Click on Add
· Record 2 screen will appear
· Click Credit Radio Button
· Credit A/c ID - Correct A/c ID of the customer
· Amount – click on contra amount icon
· Post to Verify – Note
Tran ID
· Supervisor to Verify – Menu Shortcut – HTM ; Function
– Verify
|
|
Ledger A/c Inquiry
|
HACLINQ
|
· A/c ID – Office A/c ID
· Click on Go
· Click on Go
|
|
· Term
Deposit (TD)
|
|||
Open TD
|
CMISAOP/ MISAO
|
· Function – Open
· CIF ID
· Product Grp – TD
· Scheme Code – select from searcher
· Click on Go
· Mode of Operation – select from searcher
· Dep Amt – Amount of TD
· Interest Credit A/c – Leave blank for Cash, SB A/c
for SI to
SB, Post Master Cheque A/c for PMC
· Documents Received – Yes
· No. of Documents Received
· Doc Details – give all document details
· Nomination Details – give all nomination details if
selected Yes
· Renewal Option – Principal Only
· Create Transaction - Yes
· In case of
ECS Option:
o ECS – Yes
o Flow Code – IO
o Amt Type – P – PCNT
o Pcnt – 100%
o Other Party A/c ID – Beneficiary A/c No.
o Other Party Name – Beneficiary Name
o Other Bank Code – Pick from Searcher
o Other Branch Code – Pick from Searcher
· Click on Flow Details Tab
· Click on Submit to Verify
· Note the
A/c ID & Tran ID
|
|
Modify TD a/c before verification
|
CMISAOPM/MISAMBV
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit
|
|
Verify TD A/c Opening
|
CMISAOPV/ MISAVF
|
· Function –
Verify
· A/c ID
· Click on Go
· Click on Submit
· Through HTM
verify the Tran ID
|
|
Modify existing TD A/c
|
CMISAM /MISAMAV
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit for Verification
· Supervisor To Verify – Menu Shortcut - CMISAM
/MISAMAV;
Function – Verify
|
|
Close TD A/c
|
HCAACTD/TDACTCL
|
· Function – L – Trial Close
· A/c ID
· Click on Go
· Click on Closure Details Tab
· Close Mode – Select Cash / Transfer
· Click on Closure Exceptions Tab
· Closure Reason - Select from the Searcher
· Click on Submit
· Generate Report through HPR and file with doc.
Payment is to be made as per the report.
· Function Z – Close
· A/c ID
· Click on Go
· Click on Closure Details Tab
· Close Mode – Select Cash / Transfer
· Click on Closure Exceptions Tab
· Closure Reason - Select from the Searcher
· Click on Submit for verification
|
|
Verify closure of TD A/c
|
HCAACVTD/TDACTCLV
|
· Function – Verify
· A/c ID
· Click on Go
· Click on Closure Details Tab
· Click on Closure Exceptions Tab
· Click on Submit – Note Tran ID
|
|
Payment of Cash After Closure
|
HCASHPND
|
· Function – Process
· Give Tran ID or TD A/c ID
· Click on Go
· Click on Serial No.
· Post
· This
process does not require verification
|
|
Closure of TD upon Death of Customer
|
CMRC / CIFMD
|
· Function – M – Modify
· CIF ID
· Click on Go
· Customer Status – Deceased
· Date of Death – Give DOD of customer
· Click on Submit to Verify
· Supervisor to verify – Menu Shortcut – CMRC / CIFMD ;
Function – Verify
|
|
HCAACTD
|
· Function Z – Close
· A/c ID
· Closure
Value Date – Previous completed year of TD tenure
· Click on Go
· Click on Closure Details Tab
· Collect Penal Flag – No
· Close Mode
– Only Postmaster Cheque or A/c Transfer
· Click on Closure Exception Tab
· Closure
Reason – DTCLM
· Click on Submit for verification
|
||
HCAACVTD/TDACTCLV
|
· Function – Verify
· A/c ID
· Click on Go
· Click on Closure Details Tab
· Click on Closure Exception Tab
· Click on Submit - Note the Tran ID
|
||
· MIS
|
|||
Inquiry on holding amount of an existing MIS A/c
holder
|
CLIMIT
|
· CIF ID or A/c ID
· Click on Submit
|
|
Closure Upon Death of First of the Joint A/c Holder
where amount is more than the prescribed MIS limit
|
CMRC
|
· Function – M – Modify
· CIF ID of First Holder
· Click on Go
· Customer Status – Click on Deceased
· Date of Death – Enter DOD of customer
· Click on Submit to Verify
· Supervisor to verify – Menu Shortcut – CMRC / CIFMD ;
Function – Verify
|
|
HCAACTD
|
· Function Z – Close
· A/c ID
· Closure
Value Date – Date of Death
· Withdrawn
Amount – Excess Amount from MIS Limit
· Click on Go
· Click on Closure Details Tab
· Collect
Penal Flag – No
· Close Mode – Select Transfer
· Repayment A/c ID – SB A/c or Post Master Cheque A/c
· Click on Closure Exception Tab
· Closure
Reason - DTCLM
· Click on Submit for verification – Note Tran ID
|
||
HCAACVTD/TDACTCLV
|
· Function – Verify
· A/c ID
· Click on Go
· Click on Closure Details Tab
· Click on Closure Exception Tab
· Click on Submit - Note the Tran ID
|
||
HCCA
|
· Function – Modify
· Account no. – MIS A/c ID
· Click on Go
· New CIF ID – Give new CIF ID of the survivor
· Change name – Yes
· Reason Code
· Click on Submit for verification
· Supervisor to verify – Menu Shortcut – HCCA ;
Function – Verify
|
||
CMISAM
|
· Function – Modify
· A/c ID – MIS A/c ID
· Click on Go
· Mode of Operation – Self
· Submit to Verify
· Supervisor to verify using CMISAM; Function – Verify
|
||
Enquiry of Unpaid TD / MIS / SCSS Interest lying in
Sundry A/cs
|
HIOT
|
· Sold ID
· Click on OAP Button
· A/c ID – Interest Sundry A/c No. of TD / MIS / SCSS
· Give Start Amount & End Amount as Interest Amount
· Filter – Select Partially or Unresponded
· Ref No. – TD /
MIS / SCSS A/c No.
· Click on Go
· Next Screen – Unpaid Interest amounts if any are
reflected
|
|
Payment of TD / MIS / SCSS Interest by Cash from
Sundry A/c
|
HTM
|
· Function Code – Add
· Transaction Type / Sub Type – C/NP
· Click on Go
· Debit A/c ID – Sundry A/c No. of TD / MIS / SCSS
Interest
· Amount
· Ref No. – TD / MIS / SCSS A/c No.
· Restore Values – A – Additional Part Tran Details
· Click on Go
· Next Screen
· Ref No. – TD / MIS / SCSS A/c No.
· Click on Go
· Next Screen
· Click on Check Box against the entry
· Click on Accept
· Click on Post and Note the Tran ID.
· Supervisor to verify using Menu Shortcut – HTM;
Function – V – Verify
|
|
Rest entire processes are same as in TD A/c. Menu
Shortcuts are also same.
|
|||
· SCSS
|
|||
Entire processes are same
as in TD A/c. Only one amendment; Select Scheme Code at the time of Opening
the SCSS A/c. Note menu shortcuts are
different from TD A/c.
|
|||
Death Closure within Lock-in Period
|
HACXFRSC
|
· Function – T – Transfer
· Click on Go
· A/c ID
· Target Scheme Code – Give Exceptional Scheme Code for
SCSS
· Select Target GL Subhead Code
· Click on Submit. Note
Instruction No.
· Supervisor to verify using HACXFRSC; Function -
Verify
· HPR – View Report
|
|
HINTTM
|
Only Supervisor can close the a/c which is to be
verified by Postmaster
· Function – M – Modify
· A/c ID – SCSS A/c ID
· Click on Go
· Interest Table Code – Delete present value and select
SBRATE from the searcher
· From Date – Date of death
· Click on Submit to verify
· Supervisor to Verify – Menu Shortcut – HINTTM;
Function – V – Verify
|
||
HCAACTD
|
· Function Z – Close
· A/c ID
· Click on Go
· Closure Value Date – Will be automatically given by
the system as the date of death
· Withdrawn Amount – Excess Amount
· Click on Closure Details Tab
· Collect Penal Flag – No
· Close Mode – Transfer
· Repayment A/c ID – SB A/c or Post Master Cheque
· Click on Closure Exception Tab
· Closure Reason - DTCLM
· Click on Submit for verification –
· Supervisor to Verify – Menu Shortcut – HCAACVTD;
Function – V – Verify; Note Tran ID
|
||
In case of premature closure of SCSS – where
Lien has been put for the extra interest
|
|
· In Sanchay Post interest of first day is paid in advance
· In finacle there will be interest adjustment after
migration.
· Customer will get one day interest less. So to avoid
reduction of interest in
FINACLE in the immediate quarter HIARM interest
adjustment entries are done.
· During Pre-mature closure of SCSS account, system
will pay 1 day
interest in excess in finacle to collect user has to manually
lift the lien and
collect the 1 day interest given in HIARM menu and close
the account. This is applicable only
in case of premature closure of scss account and for migrated accounts only.
· Office Acct ending with 0323 will be used to credit
the same. There is no automatic adjustment as it is a Lien. The user needs to
do a CXFER to collect the same.
· Process in case of premature closure of an account
for any date between
migration date and the 1st quarter of interest
application by Finacle:-
a. Post office to refer to the
file provided by SDC for interest adjustment for the account to be closed.
(File will be shared as part of migration by Infosys to SDC) b. Invoke CTM (in case of cash)/ CXFER (in case of debit to SB account) to
collect the amount of adjustment (noted down in point a) and credit office
account specially created for this adjustment. c. Invoke HCAACTD to close the SCSS account
|
|
· RD A/C
|
|||
Open RD A/c
|
CRDOAAC/RDAOCM
|
· Function – Open
· CIF ID
· Scheme Code – RDIPN
· Click on Go
· Mode of Operation - Select from Searcher
· Monthly Installment – Give RD Installment Amount
· Transaction Required – Yes
· No. of Installments
· Documents Recd - Yes
· No. of Documents Recd – Give no. of documents
· Doc Code – Select from Searcher
· Click on Flow ID Tab
· Click on Submit for verification. Note RD A/c ID and Tran ID
|
|
Modify RD A/c before verification
|
CRDOAACM/RDMAO
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit
|
|
Verify RD A/c Opening
|
CRDOAACV/RDAOVF
|
· Function – Verify
· A/c ID
· Click on Go
· Click on Submit
|
|
Modify existing RD A/c
|
CRDACM / RDAMM
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit for Verification
· Supervisor To Verify – Menu Shortcut – CRDACM /
RDAMM; Function – Verify
|
|
RD A/c Transaction Posting
|
RDAMT/CRDP
|
· Function – Add
· Transaction Type – Cash / Transfer – Customer Induced
· Click on Go
· RD A/c No.
· Amount (If you put more amount it will automatically
pick the no. of installments)
· Mode of Payment – Click on Cheque or Withdrawal Slip
(If cheque is selected then give cheque date and cheque no.)
· A/c ID – Give SB A/c no.
· Click on Submit for Posting by Verifier. Note Tran ID
· Verification
Process:
· Menu Shortcut – CRDP
· Function – Post
· Tran ID
· Click on Go
· Click on Submit
|
|
Close RD A/c
|
CRDCAAC/RDACLM
|
· Function – L – Trial Close
· A/c ID
· Click on Go
· Close Mode – Cash / Transfer
· Click on Check Box Close
· Close Reason – Select from the searcher
· Click on Accept
· Click on Submit
· View /
Print Report using HPR
· Function – Z – Close
· A/c ID
· Click on Go
· Click on Check Box Close
· Close Reason – Select from searcher
· Click on Accept
· Click on Submit for Verification.
· Supervisor to Verify – Menu Shortcut -
CRDCAAC/RDACLM; Function – V – Verify. Note
the Tran ID
|
|
Closure within 3 years
|
|
· User should
be careful while closing RD account. System will only THROW EXCEPTION if the
RD account is closed within the lock in period. Counter PA should not accept
the EXCEPTION and should not proceed further. If the EXCEPTION is accepted,
system will allow CLOSURE within LOCK in period.
|
|
Migrated account where default fee has not been
collected in Sanchay post
|
|
· Default fee is put as a lien on RD account.
· During closure the default fee will be deducted by
the user before paying the closure proceeds to the customer.
· The LIEN marked should be lifted (MODIFIED) using
HALM menu and proceed for closure using CRDCAAC menu
|
|
· PPF A/c
|
|||
Open PPF A/c
|
CPPFAO/PPFAO
|
· Function – Open
· CIF ID
· Click on Go
· Mode of Operation - Select from Searcher
· A/c Documents Recd – Yes / No
· No. of Documents Recd (If Yes)
· Nomination Details If Any
· Document Details If Any
· Click on Submit for Verification. Note A/c ID
|
|
Modify PPF A/c before verification
|
PPFAMBV/CPPFAOM
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit
|
|
Verify PPF A/c Opening
|
CPPFAV
|
· Function – Verify
· A/c ID
· Click on Go
· Click on Submit
|
|
Transfer-in of a PPF a/c from Bank or a non-CBS PO to a CBS PO
|
CPPFAO/PPFAO
|
· Function – Open
· CIF ID
· Click on Go
· A/c Opening Date – change to the date when a/c was
opened originally as per the documents
·
· Mode of Operation - Select from Searcher
· A/c Documents Recd – Yes / No
· No. of Documents Recd (If Yes)
· PPF Maturity Date – Change appropriately (Financial
year closing date of the 16th FY)
· A/c Opening Mode – Click on Transfer button
· Old A/c No.
· Old Bank Branch Details
· Advice of Transfer No.
· Nomination Details If Any
· Document Details If Any
· Click on Submit for Verification. Note A/c ID
|
|
CPPFAV
|
· Function – Verify
· A/c ID
· Click on Go
· Click on Submit
|
||
|
· Make transactions file from the ledger sheet that
came along with the documents.
· Save file for uploading
|
||
CTUPLD
|
· A/c No. – PPF A/c
No.
· File Name – Give File Name
· Click on Submit
· Visit HPR menu shortcut to see the upload status
· Supervisor to Verify using Menu Shortcut – CTUPLD;
Function – Verify
|
||
Modify existing PPF A/c
|
PPFAMAVF/CPPFAM
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit for Verification
· Supervisor To Verify – Menu Shortcut -
PPFAMAVF/CPPFAM; Function – Verify
|
|
Funding of PPF A/c
|
CPDTM
|
· Function – Add
· Transaction Type / Sub-Type – Cash / Transfer
· Type – N – Normal Contribution
· Click on Go
· A/c No. Credit – PPF A/c ID
· A/c No. Debit – SB A/c or Sundry A/c if Transfer
selected
· Amount
· Click on Submit for verification. Note Tran ID
· Supervisor to Verify – Menu Shortcut – CPDTM;
Function – V – Verify
|
|
Withdrawal from PPF A/c
|
CPWTM
|
· Function – Add
· Tran Type / Sub-Type – Cash / Transfer
· Type – N – Normal Withdrawal
· Click on Go
· Cr A/c ID If Transfer selected
· Dr A/c ID – PPF A/c ID
· Amount
· Click on Submit for Verification. Note the Tran ID
· Supervisor to Verify – Menu Shortcut – CPWTM;
Function – V – Verify
|
|
Transfer in / Out of PPF A/c – CBS Office to CBS
Office
|
HACXFSOL
|
· Source SOL ID – ID of PO where PPF A/c is existing
· Target SOL ID – ID of New PO where PPF a/c has to be
transferred
· A/c No – PPF A/c No.
· Trial Mode – No
· Click on Submit for verification. Note Instruction No.
· Supervisor to Verify. Menu Shortcut – HACXFSOL;
Function – V – Verify
|
|
Zeroing of interest for the financial year in case of
Transfer-out to Bank
|
HINTTM
|
· Function – M – Modify
· A/c ID – PPF A/c ID
· Click on Go
· Interest Table Code – Delete present value and select
ZERO from the searcher
· From Date – 01-04-YYYY
· Click on Submit to verify
· Supervisor to Verify – Menu Shortcut – HINTTM;
Function – V – Verify
|
|
Closure of PPF A/c
|
HCAAC / CLOSE
|
· Function – Z – Close
· A/c ID – PPF A/c ID
· Balance – Check Transfer Box if Balance is there /
Uncheck Transfer Box if Balance is zero
· Transaction Type – Select Cash or Transfer if Balance
Transfer Box is checked
· Transfer A/c ID – SB A/c or Post Master Cheque A/c if
Transfer selected in Transaction Type
· Click on Go
· Click on Closure Tab
· Note the Tran ID
· Select Reason Code from the searcher
· Click on Submit to Verify
· Supervisor to Verify – Menu Shortcut – HCAAC/CLOSE;
Function – V – Verify
|
|
· NSS A/c
|
|||
Withdrawal Transactions
|
CTM / CXFER
|
· Follow process for CTM for Cash Withdrawal or CXFER
for A/c Transfer
· Show HACLI
for TDS recovery in case of > INR 2500 withdrawal of NSS 87 Scheme
|
|
Closure of NSS A/c
|
HCACC
|
· Take TDS
Before Closure (For NSS 87 Cases only)
·
Function – O –
Collect
·
A/c ID
·
Click on Go
·
Expand Icon
against Closure Charges Amount
·
Click on Accept
·
Click on Submit
to Verify
·
Supervisor to
Verify – Menu Shortcut – HCACC; Function – V – Verify
|
|
HAFSM
|
·
Function – U –
Unfreeze
·
A/c ID
·
Click on Go
·
Select Entry by
clicking on Check Box
·
Click on Submit
to verify
·
Supervisor to
verify – Menu Shortcut – HAFSM; Function V – Verify
|
||
HCAAC / CLOSE
|
·
Function – Z –
Close
·
A/c ID – NSS A/c
to be closed
· Balance – Check Transfer Box if Balance is there /
Uncheck Transfer Box if Balance is zero
· Transaction Type – Select Cash or Transfer if Balance
Transfer Box is checked
· Transfer A/c ID – SB A/c or Post Master Cheque A/c if
Transfer selected in Transaction Type
· Click on Go
· Click on Closure Tab
· Note the Tran ID
· Select Reason Code from the searcher
· Click on Submit to Verify
· Supervisor to Verify – Menu Shortcut – HCAAC/CLOSE;
Function – V – Verify
|
||
· NSC A/c
|
|||
Open NSC A/c
|
CSCOAAC/NSCAO
|
· Function – O – Open
· NSC Type – Select NSC8 or NSC9
· CIF ID
· NC4a Receipt No. – Enter no. if certificates are not
available in the stock
· Click on Go
· Mode of Operation - Select from Searcher
· Total Deposit Amount
· Denomination Amount – Select denomination
· No. of Units
· Add new if more denominations to be given
· Transaction Type – Click on Cash / Transfer
· If Transfer is selected then enter Dr A/c ID and
cheque details
· Click on Submit for verification. Note new Regn No.
|
|
Modify NSC A/c before verification
|
CSCOAACM/NSCAMBV
|
· Function – Modify
· Registration No.
· Click on Go
· Amend details
· Click on Submit for verification
|
|
Verify NSC A/c Opening
|
CSCOAACV/NSCAOVF
|
· Function – Verify
· Registration No.
· Click on Go
· Click on Submit Note
A/c Nos. & Tran IDs
· System will
generate A/c No. for each Denomination
|
|
Modify existing NSC A/c
|
CSCACM/NSCAM
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit for Verification
· Supervisor To Verify – Menu Shortcut -
CSCACM/NSCAM; Function – V –
Verify
|
|
Print NSC Cert.
|
HDRP
|
· Cif ID
· From A/c ID
· To A/c ID
· Click on Go
· Click on Submit
· Complete the print commands
|
|
Closing NSC & KVP A/c
|
CSCCAAC/NSCAC
|
· Function – L – Trial Close (For trial closure use HCAACTD)
· Product Type – Select NSC or KVP
· CIF ID
· Registration No.
· Click on Go
· Select NSCs for closure one by one by checking the
Close Box
· Repayment Mode – Select Cash or Transfer
· If Transfer is selected then give Repayment A/c ID as
SB A/c or Postmaster Cheque A/c
· Closure Reason - Select from the Searcher
· Click on Submit
· Generate Report through HPR and file with doc
· Function Z – Close
· Product Type – Select NSC or KVP
· CIF ID
· Registration No.
· Click on Go
· Select NSCs for closure one by one by checking the
Close Box
· Close Mode – Select Cash or Transfer
· If Transfer is selected then give Repayment A/c ID as
SB A/c or Postmaster Cheque A/c
· Closure Reason - Select from the Searcher
· Click on Submit for verification –
· Supervisor to verify using Menu Shortcut –
CSCCAAC/NSCAC; Function – V – Verify
· Go to HPR menu and view closure report. Note Tran IDs
· If Cash
Mode is selected then process through HCASHPND
|
|
NSC Premature Closure in case of death of the holder
i.e. closure before the maturity date or KVP Premature Closure in case of
death of the holder i.e. closure before 2 years and 6 months from KVP account
open date
|
CSCAAC / NSCAC
|
Modify CIF as deceased using CMRC
· Function Z – Close
· Product Type – Select NSC or KVP
· CIF ID
· Registration No.
· Close Value
Date – Date of Death
· Click on Go
· Select NSCs for closure one by one by checking the
Close Box
· Close Mode – Transfer
· Repayment A/c ID as SB A/c or Postmaster Cheque A/c
· Closure
Reason - DTCLM
· Click on Submit for verification – Note Tran IDs
· Supervisor to verify using Menu Shortcut –
CSCCAAC/NSCAC; Function – V – Verify
|
|
· KVP
|
|||
Modify Existing Details
|
CSCACM/NSCAM
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit for Verification
· Supervisor To Verify – Menu Shortcut –
CSCACM/NSCAM; Function – Verify
|
|
Certificate Transfer
|
HCCA
|
· Function: M – Modify
· A/c ID
· Click on Go
· New CIF ID – Give the CIF ID of the customer in whose
name the certificates are to be transferred
· Modify A/c Name – Yes
· Reason Code – T
· Click on Submit to verify
· Supervisor To Verify – Menu Shortcut – HCCA; Function
– Verify
|
|
· Exceptional
Schemes
|
|||
Transfer of A/c to Exceptional Scheme
|
HACXFRSC
|
· Function – T – Transfer
· Click on Go
· A/c ID
· Target Scheme Code – Give Exceptional Scheme Code
· Select Target GL Subhead Code
· Click on Submit. Note
Instruction No.
· Supervisor to verify – Menu Shortcut – HACXFRSC;
Function – Verify
· HPR – View Report
|
|
· Discontinued
Scheme Transactions
|
|||
Cash Payment of Principle
|
HTM
|
· Function Code
– Add
· Transaction Type / Sub Type – C/NP
· Click on Go
· Debit A/c ID – Sundry A/c No. of Discontinued Scheme
· Amount
· Ref No. – Old A/c No. of Discontinued Scheme
· Restore Values – A – Additional Part Tran Details
· Click on Go
· Next Screen
· Ref No. – Old A/c No. of Discontinued Scheme
· Click on Go
· Next Screen
· Click on Check Box against the entry
· Click on Accept
· Click on Post and Note the Tran ID.
· Supervisor to verify using Menu Shortcut – HTM;
Function – V – Verify
|
|
Cash Payment of PMI Amount calculated manually
|
CTM
|
· Function – Add
· Type – Withdrawal
· Click on Go
· A/c ID – Sundry A/c No. of Interest on Discounted
Scheme
· Amount
· Click on Post and Note the Tran ID.
· Supervisor to verify using Menu Shortcut – CTM;
Function – V – Verify
|
|
Transfer of Principle Amount into SB A/c or Payment by
Post Master Cheque A/c
|
HTM
|
· Function – A – Add
· Transaction Type / Sub Type: T/CI
· Click on Go
· Record 1 screen appears
· Part Tran Type: Debit
· A/c ID – Sundry A/c No. of Discontinued Scheme
· Amount
· Ref No. – Old A/c No. of Discontinued Scheme
· Restore Values – A – Additional Part Tran Details
· Click on Go
· Next Screen
· Ref No. – Old A/c No. of Discontinued Scheme
· Click on Go
· Next Screen
· Click on Check Box against the entry
· Click on Accept
· Click on Add
· Record 2 screen appears
· Part Tran Type: Credit
· A/c ID – SB A/c or Post Master Cheque A/c
· Amount or click on get contra amount icon
· Click on Post. Note the Tran ID
· Supervisor to Verify – Menu Shortcut – HTM; Function
– V – Verify
|
|
Transfer of PMI Amount into SB A/c or Payment by Post
Master Cheque A/c
|
CXFER
|
· Function – Add
· Click on Go
· Dr A/c ID – Interest on Discounted Scheme Sundry A/c
· Cr A/c ID – SB A/c or Post Master Cheque A/c
· Amount
· Click on Post. Note
the Tran ID
· Supervisor to Verify – Menu Shortcut – CXFER ;
Function V– Verify
|
|
· RD Loan /
Half Withdrawal
|
|||
Open RD Loan A/c
|
CAOLARD/RDHWAO
|
· Function – Open
· RD A/c Number
· Scheme Code – LARD
· Click on Go
· Loan Amount
· Amend Loan
Sanction Date
· Installment Type - Bullet Payment
· Click on Submit to verify. Note Loan A/c ID
|
|
Modify RD Loan A/c before verification
|
CAOMLARD/RDHWAMBV
|
· Function – Modify
· Loan A/c ID
· Click on Go
· Amend details
· Click on Submit
|
|
Verify RD Loan A/c Opening
|
CAOVLARD/RDHWAVF
|
· Function – Verify
· Loan A/c ID
· Click on Go
· Click on Submit
|
|
Modify existing RD Loan A/c
|
CACMLARD/RDHWAMAV
|
· Function – Modify
· A/c ID
· Click on Go
· Amend details
· Click on Submit for Verification
· Supervisor To Verify – Menu Shortcut – CACMLARD/RDHWAMAV
– Function – V – Verify
|
|
RD Loan disbursement
|
LARDD/RDHWDP
|
· Function – Disbursement
· Loan A/c ID
· Mode of Disbursement – Cash / A/c Transfer
· Credit A/c ID – If transfer selected
· Amount
· Change Value Date
· Click on Submit for Verification
· Supervisor To Verify – Menu Shortcut – LARDD/RDHWDP; Function – V – Verify
· Note: Check
HACCBAL to show the system lien marked on RD A/c
|
|
Making RD Loan Unscheduled Payments
|
HLAUPAY
|
· Payment Type – Payment
· Transaction Type – Click on Cash or Transfer
· If Transfer is selected then give Common Debit A/c
No.
· Click on Go
· Loan A/c ID
· Amount
· Give Cheque Details if DOP cheque is given for
payment
· Click on Accept
· Click on Submit to Verify. Note Tran ID
· Supervisor To Verify – Menu Shortcut – HLAUPAY –
Function – Verify
|
|
RD Loan A/c Payoff – Final Payment
|
|
· Function – P - Pay Off Loan Amt
· Loan A/c ID
· Tran Type – Cash Receipt / Transfer Customer Induced
· Collect/Refund A/c ID – Give SB A/c or Sundry A/c No.
· Give cheque details if DOP cheque is given
· Click on Go
· Click on Create Transaction
· Click on Submit to Verify
· Supervisor To Verify – Menu Shortcut – HPAYOFF –
Function – Verify (Note Tran ID)
|
|
RD Loan A/c closure
|
CAACLA
|
· Function – Z – Close
· Loan A/c ID
· Click on Go
· Click on Check Box Close
· Close Reason – Select from Searcher
· Click on Accept
· Click on Submit to Verify
· Supervisor To Verify – Menu Shortcut – CAACLA –
Function – Verify
|
|
Premature Closure of RD A/c where loan is outstanding
|
HPAYOFF
|
· Function – P - Pay Off Loan Amt
· Loan A/c ID
· Tran Type – Transfer Customer Induced
· Repayment A/c ID – DOPSB A/c or Postmaster Cheque A/c
(Note while closing RD A/c, same a/c
ID should be given as repayment a/c ID)
· Click on Go
· Interest Waived Amount – Entire Interest Amount
· Click on Create Transaction
· Click on Submit to Verify
· Supervisor To Verify – Menu Shortcut – HPAYOFF –
Function – Verify (Note Tran ID)
|
|
CRDCAAC/RDACLM
|
· Function – Z – Close
· A/c ID
· Click on Go
· Close Mode – Transfer
· Repayment A/c ID – Same A/c No. given for Loan Closure
· Click on Check Box Close
· Close Reason – Select from searcher
· Click on Accept
· Click on Submit for Verification. Note the Tran ID
· Supervisor to Verify – Menu Shortcut -
CRDCAAC/RDACLM; Function – V – Verify
|
||
|
·
Calculate
interest manually on the loan amount for the no. of months loan availed
·
Recover interest
amount by doing CTM / CXFER and credit SBCO Suspense A/c
|
||
· PPF Loan /
Withdrawal
|
|||
Open PPF Loan A/c
|
CLPPFAO/PPFLAO
|
· Function – Open
· CIF ID – Auto-populated
· PPF A/c No.
· Click on Go
· Disbursement Type – Cash / Transfer
· Disb. Cr A/c ID if A/c Transfer is Selected
· Sanction Limit – Loan Amt
· Check the
Max Sanction Limit Amt Field (Sanction Limit < Max Sanction Limit)
· Click on Submit to Verify. Note the A/c ID
|
|
Modify PPF Loan A/c before verification
|
CLPPFAOM/PPFLAMBV
|
· Function – Modify
· A/c ID – Loan A/c ID
· Click on Go
· Amend details
· Click on Submit
|
|
Verify PPF Loan A/c Opening
|
CLPPFAOV/PPFLAVF
|
· Function – Verify
· A/c ID – Loan A/c ID
· Click on Go
· Click on Submit
|
|
Modify existing PPF Loan A/c
|
CLPPFAM/PPFLAMAV
|
· Function – Modify
· A/c ID – Loan A/c ID
· Click on Go
· Amend details
· Click on Submit for Verification
· Supervisor To Verify – Menu Shortcut – CLPPFAM/PPFLAMAV; Function – Verify
|
|
PPF Withdrawal,
Loan Disbursement and Interest Recovery
|
CPWTM/PPFWLINT
|
· Function – Add
· Transaction Type / Sub-Type – Cash / Transfer
· Type – Loan Disbursement
· Click on Go
· Dr A/c No – PPF A/c
· Amount
· Cr A/c No. If Transfer is selected
· Click on Submit for verification Note both the Tran IDs
· Supervisor To Verify – Menu Shortcut – CPWTM/PPFWLINT; Function –
Verify
|
|
Repayment of PPF
Loan
|
CPDTM
|
· Function Add
· Tran Type / Sub-Type - Cash Receipt / Transfer
Customer Induced
· Type – Principal Repayment / Loan Interest Repayment
· Click on Go
· Cr A/c ID – PPF A/c ID
· Amount
· Click on Submit for Verification. Note Both Tran IDs
· Supervisor To Verify – Menu Shortcut – CPDTM;
Function – Verify
|
|
Closure of PPF
Loan A/c
|
CPDTM
|
· Function Add
· Tran Type / Sub-Type - Cash Receipt / Transfer
Customer
· Type - Principal Repayment
· Click on Go
· Cr A/c ID – Loan A/c
· Amount
· Click on Submit for Verification. Note Both Tran IDs
· Supervisor To Verify – Menu Shortcut – CPDTM;
Function – Verify
|
|
CLPR
|
· For
calculation of interest amount
· Function Code – P – Process
· A/c No. – Loan A/c No.
· Click on Go
|
||
HACINT
|
· From A/c ID – Loan A/C ID
· Report to - PM
· To date –
Yesterday’s Date
· Post Transaction – Yes
· Frequency Based Interest Run – No
· Dr / Cr Interest – Debit Interest Only
· Click on Submit
· Check HPR to view report and recover interest by
CPDTM
· This operation need not be verified.
|
||
CPDTM
|
· Function Add
· Tran Type / Sub-Type - Cash Receipt / Transfer
Customer
· Type - Interest Repayment
· Click on Go
· Cr A/c ID – Loan A/c
· Amount
· Click on Submit for Verification. Note Both Tran IDs
· Supervisor To Verify – Menu Shortcut – CPDTM;
Function – Verify
|
||
HCAAC / CLOSE
|
· Function – Z – Close
· Uncheck Transfer as Principle and Interest entries
would be passed using CPDTM as mentioned in previous steps.
· A/c ID – Loan A/c ID
· Click on Go
· Click on Close Tab
· Reason Code – Select from Searcher
· Click on Submit to verify.
· Supervisor To Verify – Menu Shortcut – HCAAC/CLOSE – Function – Verify
|
||
· Outward Clearing
|
|||
Lodging of
Instruments by HO / SO
|
HOMSO
|
· Function – Add
· Click on Go
· A/c ID
· Amount
· Cheque No.
· MICR Code – Give directly from the cheque or Select
from searcher
· Tran Code – Give from the cheque
· Cheque Date
· Click on Add to create another entry
· Click on Submit to Verify
· Supervisor To Verify – Menu Shortcut – HOMSO;
Function – Verify
|
|
Report generation
for cheques lodged by SO / HO
|
HOMSOEX
|
· SO
o Date
o Click on Report (Total report)
o Click on Submit
o HPR
o Similarly Report 2 can be generated (Bank wise
report)
·
Similar to above
HO will also generate Report & Report 2
·
HO will also generate File for its SOL / SO SOLs or
entire SOL Set
·
Note the file Names
|
|
File Transfer of
SO / HO by HO
|
HTRFTOPC
|
· Source File Name – File name of SO / HO
· Destination Directory – Location where file is to be
transferred at HO
· Click on Submit
|
|
Zone Processing
|
HMCLZOH
|
· Function – O – Open
· Zone Date
· Zone Code
· Click on Go
· Click on Submit
|
|
File upload to
Lodge Instruments
|
HCLUPLD
|
· Report to – Clg Dept
· Zone Date
· Zone Code
· Click on User Application File Path Radio Button
· Upload File Name – Mention file name created in HPR
· Multiple Instrument – No
· Create Transaction – Yes
· Click on Submit
· File gets uploaded
|
|
Lodge Instruments
Manually
|
HOCTM
|
· Option – Add
· Zone Date
· Zone Code
· Click on Go
· A/c ID
· Amount – Pay-in slip amount
· Instrument No
· Amount – Cheque Amount
· Sort Code – Give from the cheque
· Transaction Code – Give from the cheque
· Click on Submit
· Note the Set ID on the pay-in slip
· You can
lodge single slip containing multiple cheques and also multiple slips
containing single cheque only through HOCTM
· Show
HACCBAL / HACLI– Float Balance Amount
|
|
Zone Balancing
|
HMCLZOH
|
· Option – I – Inquiry
· Zone Date
· Zone Code
· Click on Go
· Statistics Tab
· Check Slips / Instruments / Sets – Nos. & Amount
· Check Status – Entered / Verified
|
|
Cheque Inquiry in
Zone
|
HIOCLS
|
· If Zone is not balanced as per the statistics then
inquire to see which set is not balanced.
· To modify set HOCTM – Function – M – Modify
|
|
Verify Manually if
any transaction is in entered state
|
HTM
|
· Function – V – Verify
· Tran ID
· Click on Go
· Post
|
|
Suspending the
Zone
|
HMCLZOH
|
· Option – S – Suspend
· Zone Date
· Zone Code
· Click on Go
· Click on Submit
|
|
Verify Lodged
Instruments
|
HOCTV
|
· To verify instruments
· Function – V – Verify
· Zone Date
· Zone Code
· Click on Go
· Check report in HPR
|
|
Unsuspending the
Zone – if need be
|
HMCLZOH
|
· Option – V – Revoke Suspension
· Zone Date
· Zone Code
· Click on Go
· Click on Submit
|
|
Releasing to Shadow
Balance
|
HMCLZOH
|
· Option – R – Release to Shadow Balance
· Zone Date
· Zone Code
· Click on Go
· Click on Submit
· Show
HACCBAL / HACLI– Float Balance
(becomes nil) & Funds in Clg Amounts
|
|
Return of Cheques
– Explained in Inward Clearing Process
|
|||
Marking of Clearing
Extension
|
HMARKPEN
|
· Select cheques to be marked from releasing funds to
customers
|
|
Removal of hold up
cheques
|
HREVPEND
|
· Un-select cheques
|
|
Close the Zone and
release funds to customer
|
HMCLZOH
|
· Option – G – Regularise Shadow Balance
· Zone Date
· Zone Code
· Click on Go
· Click on Submit
· Show
HACCBAL / HACLI– Funds in Clg Amount
(becomes nil)
|
|
· Inward
Clearing Process
|
|||
Open Zone
|
HMICZ
|
· Option – O – Open
· Zone Code
· Click on Go
· Total No. of Instruments in advice – Give no. of
cheques received in clearing
· Total Amount of Instruments in advice – Give total
amount of cheques received in clearing
· Click on Submit
|
|
Lodging
Instruments in zone – Upload
|
HRMI
|
· Zone Date
· Zone Code
· Select - User Application File Path / Local File Path
· File Location
· Click on Go
· Check upload success report by using menu shortcut
HPR
|
|
Lodging
Instruments in zone – Manually
|
HICTMO
|
· Function – Add
· Zone Code
· Click on Go
· A/c ID
· Amount
· Transaction Code
· Click on Submit to Verify.
· Supervisor to Verify using Menu Shortcut HICTMO –
Function – V (Verify Signatures also)
· Show HACCBAL – System Reserved Amount
|
|
Validation Run for
Reporting
|
HMICZ
|
· Option – V – Validation Run
· Zone Code
· Click on Go
· Click on Submit
· Check report in HPR
· Note – Supervisor to check the reason of error /
rejects and resolve
· Validation
Run has to be done whenever you visit HICTMO.
|
|
Rejecting /
Returning a cheque
|
HICTMO
|
· Function – Modify
· Zone Date
· Zone Code
· Click on Go
· Instrument No. – Give selected cheque no. or Click on
Accept
· From List of cheques, select the cheque to be
rejected
· Carve – Click on No
· Reject – I (for inward cheques) / O (for outward
cheques)
· Also for
outward cheque returns give all cheque details
· Click on Return Details Icon
· Reject Reason – Select from the searcher
· Click on Charges Button
· Click on Accept
· Click on Additional Details Icon
· Presenting Bank Code – Select from the Searcher
· Presenting Bank Br Code – Select from the Searcher
· Click on Accept
· Click on Submit for verification
· Supervisor to verify – Function – V – Verify
|
|
Suspending the
zone
|
HMICZ
|
· Function – S – Suspend
· Zone Date
· Zone code
· Click on Go
· Click on Submit
|
|
Posting the zone
|
HMICZ
|
· Function – P – Post
· Zone date
· Zone code
· Click on Go
· Check statistics
· Click on Submit
· Check report in HPR
· Note the Tran ID. If any transaction is in entered
state then invoke Menu HTM to post the transaction
· Show the effect of posting on System Reserved Amount.
|
|
Close the zone
|
HMICZ
|
· Function – Z – Close
· Zone date
· Zone code
· Click on Submit
· Do the inquiry on Zone and note the tran ID of
charges entry. Post entry using menu shortcut HTM; Function M – Modify.
|
|
· Outstation Cheque for Collection
|
|||
Lodge Instrument
|
HIRM
|
· Function – G – Lodge
·
Remit Type –
OCINR
·
Rem CCY – INR
·
CIF ID
·
Click on Go
· General
Details
o
Operative A/c ID
– SB A/c
o
Charge Debit A/c
ID – SB A/c
o
Remittance Amt –
Cheque Amount
o
Remit Country –
IN
· Instrument
Details
o
Instrument No.
o
Inventory Type –
CHQ
o
Instrument
Amount
o
Quantity
o
Instrument Date
o
Drawee Details –
Name / Address
o
Drawee Bank
Details
§
Bank Code –
Select from Searcher
§
Bank Br Code –
Select from Searcher
o
Click on
Validate
·
Event Details
o
Click on
Validate
·
Transaction Details
o
Click on
Validate
·
Click on Submit
for verification. Note the remittance
ID.
·
Supervisor to
verify – Menu Shortcut – HIRM; Function – V – Verify
·
Show HACLI –
Charges Application
|
|
Realize Instrument
|
HIRM
|
· Function – R – Realize
· Remit ID
· Validate
Following Tabs:
o
Instrument
Details
o
General Details
o
Realisation
Details
o
Event Details
o
Transaction
Details
·
Click on Submit
·
Supervisor to
verify – Menu Shortcut – HIRM; Function – V – Verify
·
Show HACLI – Credit & Charges Application
·
Inquire in HIRM
the Remit Status should be Yes
|
|
Dishonour of
Instrument
|
HIRM
|
· Function – N – Dishonor
· Remit ID
· Validate
Following Tabs:
o
Instrument
Details
o
General Details
o
Event Details
o
Recovery Details
o
Transaction
Details
·
Click on Submit
·
Supervisor to
verify – Menu Shortcut – HIRM; Function – V – Verify
·
Show HACLI – Charges Application
· Function – Z – Close
· Visit Instrument Information to Validate
· Click on Submit for verification
·
Supervisor to
verify – Menu Shortcut – HIRM; Function – V – Verify
|
|
· ECS
|
|||
Enable the facility of ECS for the customers at the
time of account opening
|
SB- CASBAO/QDESA, RD
–CRDOAAC/RDAOCM, TD/MIS –
CMISAOP/MISAO , SCSS- CSCAOP/SCSSAO
|
· ECS Enabled – Yes
· Click on Submit for Verification
· Supervisor to Verify
|
|
Enable the facility of ECS for the existing customer
|
SB – CASBAM/QDEMSA,
MIS/TD – CMISAM/MISAMAV, RD -
CRDACM/RDAMM, SCSS -
CSCAM/SCSSMAV
|
||
Setting Mandate for Outward ECS
|
HECSM
|
· Function – Add
· Click on Go
· A/c ID
· Pay Sys ID – ECS
· Message Type – Outward
· Part Tran Type – Debit
· Tran Code – Code 1
· Start Date
· End Date
· Amount Type – Fixed
· Amount
· Other Party A/c ID – Beneficiary A/c No.
· Other Party Name – Beneficiary Name
· Other Bank Code – Pick from Searcher
· Other Branch Code – Pick from Searcher
· Click on Submit for Verification. Note Mandate Srl No.
· Supervisor to verify – Menu Shortcut – HECSM;
Function – V – Verify
|
|
· Memo pad
|
|||
Create Memo pad
|
HMEMOPAD
|
· Click on Add New Record
· Enter Topic
· Function – Select from searcher – FT
· Intent – Select – C – Cash FT Elert
· Security – Select P – Public
· Memo Text – Give relevant note
· A/c ID
· Click on Submit to verify
· Note Memo
pad No
|
|
Verify Memo pad
|
HMPAU
|
· Function – V – Verify
· A/c ID
· Click on Go
· Select entry by clicking the check box
· Click on Submit
|
|
· Agent
Portal
|
|||
Creation of Agent on Finacle
|
HDSAMM
|
· Function – Add
· DSA ID
· Click on Go
· DSA Name
· Address
· License No.
· Commission Credit A/c ID – DSA SB A/c
· Tax Code – TDSAG
· License Expiry Date
· Free Code – Agent Type – Select Searcher
· Product Tab
· Scheme Code – RDIPN
· Payment Frequency – Daily
· Holiday – N
· Pay Commission – Yes
· Sub Placement A/c - 45090000
· Click on Submit to Verify
· Supervisor to verify – Menu Shortcut – HDSAMM; Function – V – Verify
|
|
Linking Agent ID to Existing A/c at the time of
Opening of A/c
|
SB- CASBAO/QDESA, RD
–CRDOAAC/RDAOCM, TD/MIS –
CMISAOP/MISAO , SCSS- CSCAOP/SCSSAO
|
· Agent / Employee Code – Click on Agent Radio Button
· Select Code from the List
· Click on Submit to Verify
· Supervisor to verify – Function – V – Verify
|
|
Linking Agent ID to Existing A/c after a/c is opened
|
SB – CASBAM/QDEMSA,
MIS/TD – CMISAM/MISAMAV, RD -
CRDACM/RDAMM, SCSS -
CSCAM/SCSSMAV
|
||
Initiating Transaction through Agent Portal by Agent
/ Super Agent (CPA)
|
|
· User Name
· User Login P/w
· Accounts
· Agent Enquire & Update Screen
· Select an account in which transaction is to be done
· You can select multiple accounts also
· Select Mode – Cash or DOP Cheque or Non DOP Cheque
· Save
· Click on Radio Button against which transaction is to
be done
· No. of Installments
· Click on Get Rebate & Default Fee
· Save
· Repeat process for all accounts selected
· Enter cheque details if DOP or Non DOP cheque mode is
selected
· Pay all saved Installments
· Note
Payment Reference No.
|
|
Generate Report
|
|
· Reports
· From Date
· To Date
· List Reference No. – Give Payment Reference No.
· Status – Success
· Search
· PDF File – OK
· Save or Print the report
· Sign Out
|
|
Initiating Transaction through Agent Portal by Super
Agent
|
|
· User Name
· User Login P/w
· Click on Agents
· Select Agent
· Click on Fetch Accounts
· Select an account in which transaction is to be done
· You can select multiple accounts also
· Select Mode – Cash or DOP Cheque or Non DOP Cheque
· Save
· Click on Radio Button against which transaction is to
be done
· No. of Installments
· Click on Get Rebate & Default Fee
· Save
· Repeat process for all accounts selected
· Enter cheque details if DOP or Non DOP cheque mode is
selected
· Pay all saved Installments
· Note
Payment Reference No.
· Generate Report
· Sign Out
|
|
Posting the reference no. in Finacle
|
HAGTXP
|
· Function – M – Modify
· E-banking ref no. – Give ref no. from the agent’s
report
· Click on Go
· Save
· Supervisor to verify – Menu Shortcut – HAGTXP;
Function – V – Verify
· Menu Shortcut - HPR
· Transaction status report
|
|
· RM
e-Banking Portal
|
|||
Create Agent Portal User
|
|
· Login – Bank User
· Password
· Click on Agent User Admin
· Click on Create New
· Agent User ID (to be exactly the same as created on
Finacle)
· First Name
· Last Name
· Salutation
· Date Format – dd-mm-yyyy
· Language ID – English
· Menu Profile – DOPAGN
· Authentication Mode – Password
· Click on Continue
· Give Remarks
· Give Transaction Password
· Click on Submit. Note
the Ref ID
· Another RM to Login
· On dash board click on Records Pending For Approval
· Select the reference ID
· Click on Approve
· Give Transaction P/w
· Click on Submit
· Click on Agent User Admin
· Select Agent ID
· Set Password
· Check Sign On Password
· Click on Continue
· Give Transaction Password
· Click on Submit
· Click on Enable / Disable User
· Select Login Password
· Click on Submit
· Back end to generate password
|
|
Create Retail User
|
|
· Login – Bank User
· Password
· Click on Retail Administration
· Click on Create New
· CIF ID
· Click on Look Up – System will fetch details from
Finacle
· Salutation
· Brand ID – Brand 1
· Menu Profile – DOPRET
· Entry Limit Scheme – Retail Default
· Transaction Limit Scheme – Retail Default
· Transaction Authorization Scheme – Retail Default
· Authentication Mode – Password
· Secondary Authentication Mode – One Time Password
· Accessible Financial Transaction Types – Select All
· Authorisation Mode Precedence – Transaction Level
· Click on Continue
· Give Remarks
· Give Transaction Password
· Click on Submit. Note
the Ref ID
· Another RM to Login
· On dash board click on Records Pending For Approval
· Select the reference ID
· Click on Approve
· Give Transaction P/w
· Click on Submit
· Click on Retail Admin
· Select CIF
· Click on Set Password
· Click on Check Box Sign On Password
· Click on Check Box Transaction Password
· Click on Continue
· Give Transaction Password
· Click on Submit
· Click on Enable / Disable User
· Click on Mode
· Login Password – Enable
· Transaction Password – Enable
· SMS OTP - Enable
· Back end to generate passwords
· Click on Submit
|
|
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2 comments
GOOD GUIDELINE FOR FINACLE USER
THANKS A LOT
bad what good not good
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