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
Balance Maintenance
Balance Maintenance involves managing financial accounts and ensuring that the balances, bills, and debts associated with those accounts are properly maintained and reconciled.
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Bill balances such as commitment balance, principal or interest or charge amount of facility should be adjusted
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Perform the write off of all the balances and bills of a loan. Bank calls for the write off of a loan borrowed by a defaulter when the chances of loan recovery are almost zero and its assets are non-performing.
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Bill balances such as commitment balance, principal or interest or charge amount of facility should be adjusted
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Perform a write off of the balances and bills such as principal or interest or charge amount for the unpaid loans
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Perform a write off of the balances such as principal or interest or charge amount for the unpaid loans
Write Off Bills
PUTPerform a write off of the bills such as interest or charge amount for the unpaid loans