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
Secondary Loan Trading
Secondary Loan Trading involves the trade of syndicated loans in the secondary loan market. Below are the various service operations involved to create and maintain the various types of trade products.
Create a Trade
POSTCreate a trade for a syndicated loan as initially agreed upon between counterparties.
Accept Trade
POSTConfirm the trade when all the parties involved agreed the terms and conditions of the trade.
Update Trade
POSTUpdate additional details in trade.
Update Consent
POSTUpdate borrower consent for trade
Update Commitment
POSTUpdate the trade due to changes in commitment amount being traded.
Approve Trade
POSTFinalize the trade to verify all necessary details are available.
Show Pricing Letter
POSTIssue pricing letter to the counter party for a final settlement amount.
Calculate a Trade
POSTSettle the trade in bank books.
Cancel Trade
POSTCancel the trade in bank books.
Update Charges
PUTAmend charges already authorized in the trade
Fetch Charges
GETView all the charge details for a given trade.
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View all the trade products