Add or Remove Account Holders
It is a common banking practice to have more than one party, for example joint-holders, in a deposit. This section describes how a bank can maintain the deposit contract by adding or removing parties to an existing deposit.
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Update the customer details of the term deposit such as add or remove joint customers
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Update the customer details of the term deposit such as add or remove joint customers
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Retrieves all the customer details for the given arrangement such as customer id, customer name, customer role, their beneficiary type, limit allocation percentage, GL allocation percentage and tax liability percentage.
Posting Restriction
Banks employ posting restrictions to regulate transactions in deposits. Posting restrictions are transaction-based controls, that prevent transactions from being posted for the purpose of operational control. A typical business case in which a bank applies a posting restriction to control credits is for non-resident accounts, where there could be restrictions against the deposit of local currency amounts into the deposit.
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Update the account conditions of the term deposit such as alternate references, posting restrictions, etc
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Update the account conditions of the term deposit such as alternate references, posting restrictions, etc
Payment Schedule
A payment schedule for a deposits product is the interest payments that are made on the deposit account. The payment schedule outlines when and how interest payments will be made to the account holder.
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Update the payment schedule details of the term deposit such as payment frequency, payment type
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Retrieves the payment schedule details of an account
Manage Interest
Banks can pay interest to the customers on credit balances held in their deposit accounts. The interest can be changed in the following ways
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Update the interest conditions of the term deposit such as interest rate, spread, margin etc
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Retrieves the interest details of an account such as interest rate , interest type and interest amount
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Retrieves the interest accrued for the current period of an account
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Retrieve the past period's interest accruals
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Retrieves the interest accruals of the previous year
Renegotiate Deposits
Renegotiating deposits involves negotiating new terms and conditions for a term deposit account before its maturity date. These negotiations may include a change in the original terms of the account, such as the interest rate or the maturity date and so on.
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Perform the renegotiation of the term deposit contract details such as payment frequency, interest rates, etc.
Renewal of Deposits
Renewal of deposits enables the account holders to extend the term of their deposit account that has reached its maturity date.
Deposit Renewal
POSTPerform the rollover of the deposit for the given rollover date or period
Update Term
PUTUpdate the tenure of the term deposit by providing tenure or maturity date
Change Product
Changing product is the process of switching from one type of deposits product to another within same product group offered by the bank or financial institution that may involve additional fees and charges.
Change Product
PUTUpdate the contract from one deposit product to another
Change Branch
You can shift an active account of a customer from one branch to another.
Change Branch
POSTUpdate the branch for the deposit
Deposit Settlement
Settlement information outlines the details of how an account balance is paid or settled, either by the account holder or by a third party. This information can include the amount of the payment, the payment method, the payment date, and any associated fees or charges.
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Update the settlement conditions of the term deposit such as payin account, payout account, beneficiary etc
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Retrieves the settlement details for the given arrangement such as payment type, payin account, payin percentage, payin amount, payout account, payout percentage, payout amount, etc
Deposit Closure
Closure of a deposit account refers to terminating a term deposit account before its maturity date. You can use this query to fetch the details related to closure of deposits.
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Redeem the term deposit to close the deposit by providing the settlement instructions
Deposit Closure
PUTRedeem the term deposit to close the deposit by providing the settlement instructions
Simulate Redemption
POSTSimulate a deposit redemption and the payload should include the settlement instructions to which the deposit amount is to be credited. Common usage of this is for simulating withdrawals when customers want to withdraw their deposits before the actual fixed maturity date of the deposits.
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Retrieves the redeem bill for the given deposit by providing the deposit reference and simulation reference for simulated deposits
Migration
Below are the service operations and their respective APIs involved in migration of deposits, bills and deposit balances.
Migrate Deposits
POSTMigration of a legacy system deposit contract to the given deposit product by providing the original contract date, account name, statement, payment frequency and start date, etc. This can be used for migrating the legacy contract to deposits account by providing required details.
Migrate Bills
PUTCaptures the bill information of the deposits 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 deposits 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.
Create - 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.
Create Spot Deal
POSTAllows to transfer positions between two dealers and hence no accounting or delivery is required.
Create Forward Deal
POSTAllows to transfer positions between two dealers and hence no accounting or delivery is required.
Create Swap Deal
POSTAllows to transfer positions between two dealers and hence no accounting or delivery is required.
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Allows to capture various customer requirements in one bulk order.
Limit Orders
POSTCreates forex limit order for a customer and also displays the list of existing limit orders
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Enables creation and authorisation of a single rate forex deal.
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Enables creation and authorisation of a multi rate forex deal.
Precious Metal Trade
POSTAllows to create forex spot or forward transactions on precious metals.
Broker Deal
POSTAllows to create an forex deal performed through a broker when the counterparty details are not known at the time of deal booking.
Internal Deal
POSTAllows to transfer positions between two dealers and hence no accounting or delivery is required.
Enquire - FOREX
Various enquiries designed to provide output
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Retrieves forex positions by currency and provides a break-up of closed positions(asset and liability position) and open positions(spot and forward position). It also arrives at the net currency position across each currency.
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Retrieves currency specific forex positions that provide details of asset liability, spot and forward positions arranged according to effective dates
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Lists outstanding swap contracts
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Retrieves the exchange rate to be used for the valuation of the forex contracts in the portfolio.
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Lists limit orders for execution / cancellation / expiry.
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Allows to list all the forex deals and update the settlement instructions.
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Retrieves the foreign exchange outstanding(active) deals as on today
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Lists the unapproved or hold orders that are generated through bulk orders.
Create - 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.
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Creates an agreement between two parties to protect against future movements in interest rate.
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Creates an agreement between two parties to protect against future movements in interest rate.
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Creates an agreement between two parties to protect against future movements in interest rate.
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Creates an agreement between two parties to protect against future movements in interest rate.
Enquire - Forward Rate Agreement
Various enquiries designed to provide output
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Lists all forward rate agreements with trade position.
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Lists all forward rate agreements with hedge position.
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Lists forward rate agreements that are unfixed and have crossed the fixing date.
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List forward rate agreements that are to be matured in the next 10 days.
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List all forward rate agreements that are to be confirmed by the broker.
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List all forward rate agreements that are to be confirmed by the counterparty.
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Allows to review, amend and authorise a forward rate agreement transaction.
Authorise - Non-Deliverable Forward
These transactions are booked in currencies that are not fully convertible (i.e. restriction apply on settlement).]
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To update, complete the non-deliverable forward deals and authorise the same.
Enquire - Non-Deliverable Forward
Enquire Non Deliverable swap details
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Allow a to list all the non-deliverable forwards for the purpose of authorisation.
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Lists all the non deliverable forwards that are to be fixed in 10 days
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Allows to list all the non deliverable forwards that are booked for today.
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Lists all the non deliverable forwards for updating the settlement instructions.
Create - 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.
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Create money market contract for counterparty/broker
Enquire - Money Market
Various money market enquiries to produce output
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List all the money market contracts for the purpose of broker confirmation
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Lists all the money market contracts for the purpose of counterparty confirmation
Enquire Reversal
GETLists all the money market contracts for the purpose of reversing.
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Lists MM contracts for the purpose of updating the settlement instructions.
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Lists all the money market placements that are eligible for a rollover.
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Lists all the money market takings that are eligible for a rollover.
Create - SWAP
Transact supports the following products. Interest Rate Swap – Trade, Interest Rate Swap – Hedge, Currency Interest Rate Swap – Trade, Currency Interest Rate Swap -Hedge
SWAP Deal
POSTAllows to book an interest rate swap deal.
Enquire - SWAP
Enquire Swap details
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Lists all the swap contracts for review and authorisation
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Lists all the swap contracts for reversal and authorisation
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List swap contracts maturing in the next 10 days.
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Lists outstanding swap contracts
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Lists deals that were booked on today's date.
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Fetches swap schedule details like description, schedule date, type, amount and principal for a specific contract.