Creating a Bundle
Creating a cash management structure (bundle) has three stages.Draft, Preliminary, Live
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Allows creation of master / bundle arrangement for summary, currency, transaction and master transaction accounts.
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Updates the bundle arrangement status from draft to pending live with all the accounts created.
Set GoLive Date
PUTUpdates golive date for the master arrangement. This is the date from which the master arrangement will become effective.
Add Accounts
PUTUpdates new accounts to the preliminary or modify the existing accounts from the preliminary structure.
Creating Internal FX
You can define an intra-cash pool transaction between transaction Accounts that are in different currencies without affecting the currency top accounts balances using the exchange rates set as Internal FX. In AA, a new product is created under the “Relationship Pricing” product line called, Internal FX. Under this product, the user can define the exchange rates for each currency pair that is used when the system performs intra-cash pool transactions. Internal FX will allow the corporate customer to perform cross-currency movements without affecting the bank’s currency positions.
Creating Internal FX
POSTInternal foreign exchange allows the corporate customer to perform cross-currency movements without affecting the bank currency positions.
Account Sweep
Account Sweeps are a movement of funds from one virtual account to another targeting to maintain the defined minimum or maximum amount of account balances. With this functionality, you can set up balance sweeps among virtual accounts that are part of the same structure and currency. You can also perform sweeps among accounts in a cash pool group.
Define Sweep Type
POSTCreates sweep type for virtual accounts.
Amend Sweep
PUTAmend existing sweep setup for example the sequence , minimum and maximum amount
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Creates the basic details of a group for a sweep. A group is a collection of accounts that are linked for cash pooling purposes
Create a Sweep
POSTCreates sweep with rules which will be checked against to see if a transfer of funds needs to be made from one account to another.
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Amends the basic details of a group for a sweep. A group is a collection of accounts that are linked for cash pooling purposes.
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Creates intra-day sweep for virtual accounts. This is used to run the cash pooling on-line if the group permits.
Update Settlement Instructions
You can define the settlement process of the defined interest conditions between the bank and the customer. The settlement instruction includes credit and debit interest, settlement accounts, settlement mode, and so on for pay-in and pay-out activities.
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Updates settlement instructions on summary accounts
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Updates settlement instructions on trading account
Manage Interest
You can define the fixed and floating interest rates for credit balance, debit balance, and penalty charges for summary accounts and currency summary accounts. The interest conditions defined for the summary accounts are inherited from their underlying virtual accounts.
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Allows to update credit interest condition for a summary account
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Updates the penalty interest conditions on summary accounts
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Update credit interest condition for a summary account
Manage Payment Schedule
You can define the conditions for the schedule and frequency of pay-in and pay-out transactions when the structure is in the live stage. You can also define the schedule for individual summary accounts within the structure (provided they are in the live stage).
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Updates payment schedule on a bundle in live structure.
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Updates payment schedule on summary account
Block or Unblock Accounts
You can temporarily deactivate either an entire structure or individual virtual accounts, thereby preventing both the structure and its associated virtual accounts from conducting transactions during that specific period.
Block Structure
POSTCreate Customer Mass Block for a specific Cash Pool Arrangement Structure over a specified period
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Create Block on Currency Summary Accounts
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Unblocks a particular virtual account and transactions can be initiated post the defined blocked end date.
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Unblocks a particular summary account and transactions can be initiated post the defined blocked end date.
Update Internal FX
You can choose to set an Internal FX rate for each customer, and these rates can be applied across different structures for the same customer within the bank.
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Updates forex pricing to master account
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Retrieve the internal forex details of a bundle
Secondary Limit
You can set secondary limits for an account that has one or more child accounts. A primary limit is the minimum and maximum limit of a parent account (for example, a summary account or currency summary account) whereas a secondary limit indicates the minimum and maximum limit of the virtual accounts under the parent account. For instance, if a summary account with two transaction accounts has a primary limit of 10000 EUR, you can set the secondary limit for each transaction account at 5000 EUR.
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Updates the secondary limit for summary accounts. This helps in monitoring the availability and utilisation of limits.
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Updates the secondary limit for virtual accounts. This helps in monitoring the availability and utilisation of limits.
Closure
You can close the entire structure at any stage, which eventually closes all its underlying virtual accounts.
Bundle Closure
PUTCloses the bundle or cashpool.
Account Closure
PUTStructural changes of virtual accounts in live status - for example, removing one virtual account from a sweep group to another sweep group triggered by the bank user
Bundle Restructure
The bundle is restructured by changing the parent or pool for a particular account provided with the same currency.
Change Pool
PUTStructural changes of virtual accounts in live status - for example, removing one virtual account from a sweep group to another sweep group triggered by the bank user
Change Parent
PUTStructural changes of virtual accounts in live status - for example, removing one virtual account from a sweep group to another sweep group triggered by the bank user
Interest Accruals
Interest accrual is the accumulation of interest on funds that are deposited into an interest-bearing account over a period. It can occur daily, monthly, quarterly, or annually depending on the account terms. The below service operations are used to retrieve the interest accrued for various time frames.
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Retrieve the accrued interest details of virtual accounts for the current period.
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Retrieve the interest details of virtual accounts for the previous period.
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Retrieve the total interest details of virtual accounts.
Sweep
Sweeps are a movement of funds from one virtual account to another targeting to maintain the defined minimum or maximum amount of account balances. You can set up balance sweeps among virtual accounts that are part of the same structure and currency. You can also perform sweeps among accounts in a cash pool group.
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Retrieve the processed sweeps.
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Retrieves sweep with rules which will be checked against to see if a transfer of funds needs to be made from one account to another.
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Retrieves the cashpool group details of the virtual accounts.
Balances
Finances of a cash management structure has the following balance information.
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Retrieves the balances of Master/Bundle Arrangement
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Simulated Balances
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Retrieves the balances of a TR Account
Account Details
Account details include displaying of transaction account summary and the details of the accounts individually under a bundle.
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Retrieve the arrangement details of a bundle, summary accounts, currency summary accounts and virtual accounts.
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Retrieves the account details of a Bundle arrangement
Issuance
Given below are the service operations for Issuance.
Create a LC
POSTInitiate a new letter of credit request for specific customer
Create a Export LC
POSTCreate a new export letter of credit for specific customer
Maintenance
Given below are the service operations for Maintenance.
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Update an existing amendment for specific letter of credit
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Updates the amendments to the letter of credit for the specified letter of credit/customer reference number
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Initiate the registration of a presentation done for letter of credit transaction
Update Drawings
PUTUpdate an existing drawing for a specific letter of credit
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Updates letter of credit amendments seeking beneficiary's consent for the specified letter of credit/customer reference number
Update Cancellations
POSTUpdates the cancellation details of the issued import letter of credit for the specified letter of credit/customer reference number
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Updates the decision on amendments to import letter of credit for the specified letter of credit/customer reference number
Create Drawings
POSTInitiate a new drawing request registerered for a specific letter of credit
Update Export LC
PUTUpdate a new export letter of credit for specific customer
Update LC
PUTUpdates the letter of credit initiation for the specified letter of credit/customer reference number
Enquiries
Given below are the service operations for Enquiries.
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Retrieves the details of outstanding import letter of credits for the specified customer/guarantee reference.
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Retrieves the list of export letter of credits registered for specific customer
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Retrieves outstanding documents such as bills under the letter of credit
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Retrieves the negotiated/discounted bills under the letter of credit
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Retrieve drawing details
Issuance
Given below are the service operations for Issuance
Create a Issuance
POSTInitiation of a guarantee issuance request by the issuing bank for the applicant or the instructing party.
Initiate Issuance
POSTInitiates guarantee issuance request through self service channel for the corporate user
Update Issuance
PUTUpdates the details of the guarantee request which are mandated for the issuing by the issuing bank
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Updates the details of the guarantee request which are mandated for the issuing by the issuing bank
Maintenance
Amend Issuance
PUTAmendment of the terms and conditions of the guarantee after issuance by the issuing bank and notifying the parties in the guarantee
Approve Issuance
PUTApproves the amendment response received from the corporate user for an received guarantees for a corporate customer
Reverse Issuance
DELETEReverse the existing guarantee file issued by the issuing bank on behalf of a corporate customer
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Updates the received claim details sent by the beneficiary to the issued guarantee requests
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Updates the status for the existing guarantee received by the issuing bank with the concurrence of the beneficiary
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Updates the response for the claim initiated to guarantee received by the issuing bank
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Updates the rejection of claim for a guarantee received file from the beneficiary bank
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Facilitates the claim creation for the guarantee received
Enquiries
Given below are the service operations for Enquiries
Fetch Issuance
GETRetrieves the list of issued guarantees by the issuing bank for any corporate customer
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Retrieves the list of received guarantee claim details
Fetch Receipts
GETRetrieves the list of issued guarantee claims that are received for the guarantees issued
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Retrieves the list of amendment history details for the received guarantee file for a corporate customer
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Retrieves a list of guarantees for which auto extension is enabled
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Retrieves the details of guarantee clauses
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Retrieves the details of outstanding received guarantees for the specified customer/guarantee reference.
Payments
Given below are the service operations for Payments.
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Reject response of a claim received by the issuing bank to the beneficiary bank
Issuance
Given below are the service operations for Issuance.
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Initiation of the export documentary collection by the collecting bank
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Lodgment of the Import documentary collection by the collecting bank
Maintenance
Given below are the service operations for Maintenance.
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Updates the amendments to the outward collection for the specified letter of credit/customer reference number
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Updates the amendments to the inward collection for the specified letter of credit/customer reference number
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Amendments to outward collection contracts are implemented by revising the contract with updated values
Enquiries
Given below are the service operations for Enquiries.
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Retrieves the outstanding details of outward collections
Fetch Drawing
GETRetrieve the details of specific drawing that is created against a letter of credit