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
Capture Merge or Split
You can split a facility into two or more facilities or merge two or more facilities into a single facility.
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API for the creation and management of credit agreements for corporate customers. The types of credit agreements are single level facility, credit agreement with multiple facilities, club loans with agency and syndicated loans