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
Deal Information
Deal Information provides details like the customer owning the deal, deals that have been authorized, facilities that have been created under a deal, and so on.
-
Retrieves the corporate deal details.
-
Retrieves the customer exposure such as the facility number, type of facility, maturity date and various amounts of the facilities/standalone loans.
Fetch Facilities
GETRetrieves the details such as facility id, title, currency, status and commitment amount for all the facilities under a deal.
-
Retrieves the corporate facility details
-
Retrieves the fee and margin ratchet details pertaining to deal, facility or drawdown
-
Retrieves the charge details associated at facility and drawdown level
-
Retrieve sublimits details for the specific facility arrangement