Manage Interest
Account | Servicing & Maintenance

Banks can pay an interest to the customers on credit balances held in their accounts. Credit interest or debit interest can be changed in the account at any time during the entire life cycle of the account.

Create - FOREX
Treasury | FOREX

Forex Module is designed to meet the business needs of Foreign Exchange Management and involves covers all the various methods of booking the deals.

Enquire - FOREX
Treasury | FOREX

Various enquiries designed to provide output

Create - Forward Rate Agreement
Treasury | Forward Rate Agreement

The transaction can be booked for Hedging purposes, it can also be booked for general Trading and Arbitrage purposes. The following types of FRA Deals can be booked.

Enquire - Forward Rate Agreement
Treasury | Forward Rate Agreement

Various enquiries designed to provide output

Authorise - Non-Deliverable Forward
Treasury | Non-Deliverable Forward

These transactions are booked in currencies that are not fully convertible (i.e. restriction apply on settlement).]

Enquire - Non-Deliverable Forward
Treasury | Non-Deliverable Forward

Enquire Non Deliverable swap details

Create - Money Market
Treasury | Money Market

Placement is a loan contract with maturity on call/notice or fixed.Taking is a deposit contract with maturity of call/notice of fixed.

Enquire - Money Market
Treasury | Money Market

Various money market enquiries to produce output

Create - SWAP
Treasury | SWAP

Transact supports the following products. Interest Rate Swap – Trade, Interest Rate Swap – Hedge, Currency Interest Rate Swap – Trade, Currency Interest Rate Swap -Hedge

Enquire - SWAP
Treasury | SWAP

Enquire Swap details