Canada
Holdings
API to create/update accounts,to retrieve the details of the accounts associated to the card/customer and cheque payment details
API to manage card order, card issuance/reissuance, cards details, update pin window details, retrieve card details and cancel card.
API to retrieve the online messages, delinquency messages associated to a card/customer/account, retrieves the list of members associated to a card and retrieves the list of signatories associated to an account.
Canadian region API's to create, update and retrieve the details of collateral submitted by a customer, its value(s), allocations, etc.
API to create/update loans and to retrieve the loan details such as currency, account balances and restrictions.
APIs to create, update, simulate and retrieve the registered plan products such as RRSP, RRIF, TFSA, etc
API to create and update simulation for accounts, deposits, loans and registered plan products.
Order
API to create current/future/recurring bill payments and update/cancel bill payments for a payee. Retrieves the bill payments for given payer.
APIs to create, update and manage transactions related to accounts.
Canadian region APIs to create, update and retrieve external payments, payment orders and recurring order instructions for payments.
Canadian reference APIs to retrieve the plan types, plan transaction codes, contributions, withdrawals and reversals.
API to perform create/update/cancel Standing order (recurring transfer) instructions
Party
API to manage (add/remove) payee details with registered payer and retrieves the payee details associated with payer.
Canadian region APIs to create, update and retrieve external payments, payment orders and recurring order instructions for payments.
Product
Canadian APIs to retrieve the list of eligible products and interest rate.
Reference
API to retrieve the payee classification and payee details for bill payments process.
APIs to retrieve the list of card formats, card types and card access types.
API to retrieve the list of customer roles, list of document types, customer types, statement options and customer status.
Canadian reference APIs to retrieve the plan types, plan transaction codes, contributions, withdrawals and reversals
United Kingdom
To retrieve the details of arrangements marked with the status NFFSTP(Not Fit For Straight Through Payout),unprotected funds transferred into unprotected suspense account for all the accounts and deposits, deposits redeemed as part of continuity of access and create the compensation status for accounts and deposits with the status NFFSTP.
These APIs allow bank users to capture the customer requests for a current account switch. Further, the APIs can be used for amending an existing switch request or delete or cancel an existing switch request based on the customer instruction. The APIs also allow the bank users to view the list of accounts with a switch requests along with the details of the switch request.
API for configuration of parameter tables required for performing account modulus check
API to configure parameter related to Banks and Building Society Interest (BBSI) report
API to create a new individual customer, non-individual customer, individual prospect and entity prospect
API to create, update and retrieve customer consent related informations like customer consents, payment account details, funds confirmation and others.
API to create fixed or flexible rate Individual Savings Account (ISA) deposits.
API to create free subscription/ withdrawal on ISA account or perform an Intra ISA portfolio transfer
API to create a inward and outward transfer of current year and previous year subscription
API to create and close Individual Savings Account (ISA), Junior Individual Savings Account (JISA) and Additional Permitted Subscriptions Account (APS) and reversal of subscription.
API to create and amend the Individual Savings Account (ISA) Parameter details.
API to cancel the Individual Savings Account (ISA) subscription.
API to create, amend and retrieve Individual Savings Account (ISA) subscription and withdrawal details for a customer in a tax year.
This API is required to display the list of accounts for which dormant status was not updated due to existing FSCS Ac status
API to create and manage common regional industry codes, central bank industry codes, sector codes and standard industrial classification codes
API to create and renegotiate UK retail deposit accounts
API to create and renegotiate UK Retail Savings and Current accounts