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
Enquiries - Asset Finance
Catalogue of enquiries that provide information related to Tangivle asset contract
Fetch Agreements
GETRetrieve all the asset finance agreements of a customer.
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Retrieve the repayment schedule of the asset finance agreement like payments and payment dates. The options for Keyword - FULL, NEXT. FULL retrieves the full repayment schedule. NEXT retrieves the next payment schedule.
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Retrieves the lease agreement balance details such as balance type, balance description and balance amount.
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Retrieves the lease agreement term details such as lease type, term, maturity option and amount
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Retrieves simulated lease agreements details such as agreement ids, product name, start date, maturity date and finance amount.
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Retrieves customer simulated lease agreements with details such as agreement ids, product name, start date, maturity date and finance amount.
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Retrieves agreement charge details such as charge property, charge type, currency and amount.
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Retrieves the lease agreement term details such as lease type, term, maturity option and amount
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Retrieves the list of subscription plans that are expiring in given number of days.
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Retrieves the eligible subscription plans of financial arrangement to be added in the financial arrangement