Create Account
Business & Corporate Enterprise Services (BCES) enables you to create premium, savings, standard, start up and current accounts in any currency for the customers. This service operation enables customized account creation with options to define limit, interest spreads, statement frequency, and payment schedules.
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Allows to create and manage various types of accounts such as current, savings, corporate, islamic, non-resident and minor accounts created using the Arrangement Architecture. Pool accounts can also be created for Notional pooling purpose
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Allows to create and manage various types of accounts such as current, savings, corporate, islamic, non-resident and minor accounts created using the Arrangement Architecture. Pool accounts can also be created for Notional pooling purpose
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Creates a simulation for account product with the details such as customer identifier, account currency, etc.
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Amend a simulation for account product with the details such as customer identifier, account currency, etc.
Create an Asset
Collection of end points that relate to Tangible asset, arrangement and covenants creation, enables creation of Land & Building, Equipments, Specialised Assets
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Creates assets that fall under classification of vehicles
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Creates assets that fall under classification of equipments
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Creates assets that fall under classification of land & buildings
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Creates assets that fall under classification of specialised assets.
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Registers the tangible asset into the system by capturing the basic details like asset class, asset type, cost details, depreciation details.
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Creation of hire purchase agreement for the customer with terms & conditions.
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Creation of lease agreement for the customer with terms & conditions.
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Creation of chattel mortgage agreement for the customer with terms & conditions.
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Captures and accepts new insurance for an asset, specifying details such as the insurer, coverage amount, policy number, and coverage period.
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Captures and accepts details based on the the outcome of an inspection, including data such as the inspector, inspection date, status, and any comments about the assets condition.
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Captures and accepts details when an asset has been inspected and officially accepted by the organization, documenting the data such as acceptance date, accepting party, and status.
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Captures and accepts details when a vehicle has been inspected and officially accepted by the organization, documenting the data such as acceptance date, accepting party, and status.
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Activation of an asset finance agreement. This action marks that the asset is delivered to the lessee and the contract terms are initiated.