Manage Schedule
Below are the service operations related to manage and retrieve schedule details.
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Allow user to change schedule condition in facility level.
Change Schedule
PUTPerform repayment date change for the loan product with details like loan reference, product id , etc.
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Retrieves the schedule payment information for paid and upcoming installments details
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Retrieves the schedule payment information for paid and upcoming installments details
Evidence
Manage subscription for asset finance contracts & assets
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Captures and accepts details based on the the outcome of an inspection, including data such as the inspector, inspection date, status, and any comments about the assets condition.
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Captures and accepts details when a vehicle has been inspected and officially accepted by the organization, documenting the data such as acceptance date, accepting party, and status.
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Captures and accepts details when an asset has been inspected and officially accepted by the organization, documenting the data such as acceptance date, accepting party, and status.
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Captures and accepts new insurance for an asset, specifying details such as the insurer, coverage amount, policy number, and coverage period.
Update Evidence
PUTUpdate the evidences to specify its approval or rejection status.
Fetch Evidences
GETRetrieves evidence information such as evidence id, description, activity, and effective date.
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Retrieves the list of newly acquired evidences which require an acceptance action to advance the status to accepted status.
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Retrieves evidence details for a lease agreement as per the covenants and condition