Create Deposits
Deposit accounts allow the customers to create fixed bonds. These bonds are characterized by a fixed interest rate or coupon rate that remains constant throughout the life of the bond.
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Creates term deposits and the payload should include customer identifier, customer role, deposit currency, deposit amount and the deposit duration term etc.
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Simulate a deposit arrangement for the given principal amount, term, payment frequency and interest rates
Enquiries - Fixed Asset
Catalogue of enquiries that provide extensive information on the Tangible assets, its lifecycle actions & status
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Retrieves the valuation details of the asset like valuation date, currency, amount, method & type
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Retrieves the incident details of the asset like incident date, incident type, authority reported & other party details
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Retrieves the insurance details of the asset like policy number, policy start date, policy expiry date, coverage limit, premium amount
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Retrieves the maintenance details of the asset like date, usage, supplier reference, invoice amount, service cost & service cost type
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Retrieves the inspection details of the asset like date, usage, estimated total repair cost, estimated total repair duration & Spare parts details
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Retrieves the usage details of the asset like usage, usage units, date of activity, date of recording
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Retrieves the list of activities performed during the life cycle of a fixed asset by querying based on asset id, start date, end date, activity id. Asset Id is mandatory querying parameter
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Retrieves the unauthorised activities such as register,purchase,capital improvement, transfers,disposal, writeoff performed during the fixed asset life cycle.
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Retrieves the details of accounting entries for a specific transaction that includes entry reference , account number , name , transaction code , date , amount , currency and narrative.
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Retrieves all the unauthorised non-financial activities of fixed assets such as updating basic details, vehicles, equipments, land & buildings, incident, inspection, insurance, valuation, maintenance, usage
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Retrieves all the authorised non-financial activities of fixed assets such as updating basic details, vehicles, equipments, land & buildings, incident, inspection, insurance, valuation, maintenance, usage.
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Retrieves the unauthorised supplier payments resulted during work in progress, purchase and capital improvement activities during the life cycle of fixed asset.
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Retreives the summary of fixed asset such as asset class, asset type, asset entity, purchase date, asset cost, original value, depreciation details, market value and ias classification by querying based on asset id or asset status as one of the mandatory parameter.