Account Facilities
Facilities for an account control the list of available services or facilities for the arrangement account. For example, if an account has the facility of overdraft, passbook, cheque, and so on can be found using the facility property.
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Update the service availability for an account like block or unblock of cheque,card,sweep etc.,
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Retrieves the service availability for an account like block or unblock of cheque,card,sweep etc.,
Migration
Migration of accounts involves the process of updating and transitioning the account from an older or existing account. Below are the service operations and their APIs involved in the process.
Migrate Accounts
POSTMigration of a legacy system account contract to the given account product by providing the original contract date, account name, statement, payment frequency and start date, etc.
Migrate Bills
PUTCaptures the bill information of the account such as bill id, property names, bill amount etc. This is used to migrate the bills of a legacy contract which is migrated from other system & update the bill details
Migrate Balances
PUTCaptures the balance details of the account such as balance type, due amount etc. This is used to migrate the balances of a legacy contract which is migrated from other system & update the balance details