Deal Information
Deal Information provides details like the customer owning the deal, deals that have been authorized, facilities that have been created under a deal, and so on.
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Retrieves the corporate deal details.
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Retrieves the customer exposure such as the facility number, type of facility, maturity date and various amounts of the facilities/standalone loans.
Fetch Facilities
GETRetrieves the details such as facility id, title, currency, status and commitment amount for all the facilities under a deal.
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Retrieves the corporate facility details
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Retrieves the fee and margin ratchet details pertaining to deal, facility or drawdown
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Retrieves the charge details associated at facility and drawdown level
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Retrieve sublimits details for the specific facility arrangement
Facility Information
Facility Information provides details about a facility like customers related to a facility, drawings that are created under a particular facility, payment schedule of a facility, and so on.
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Retrieves financial information of the arrangement such as commitment utilized, and non-financial information such as facility start date and end date, along with customer information.
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Retrieves the drawings under a facility
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Retrieves the list of available products for credit agreements.
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Retrieves the consolidated balances for a facility arrangement
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Retrieves the parent facility for a drawing
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Retrieves the corporate facility details
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Retrieves the list of loans that are getting rolled over arrangementId, accountId, customerId, product name, currency, amount, value date, rollover date.
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Retrieves the commitment schedule of a facility
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Retrieves the available drawing products under the facility
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Retrieves the financial summary for a facility arrangement
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Retrieve participant details for the specific facility arrangement
Fetch Sub limits
GETRetrieve sublimits details for the specific facility arrangement
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Retrieves the payment schedule of facility and its drawings
Loan Information
This section describes the collection of service operations that provide an overview of financial and non-financial transactions over the lifecycle of the loan.
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Retrieves the details of the given loan
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Retrieves the activity log of an account
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Retrieves the list of loans associated with a customer
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Retrieves loan details
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Retrieves the status of a loan
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Retrieves the statement frequency of an account
Reporting Metrics
This topic explains the service operations and their APIs involved in retrieving the metrics of various loan types.
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Retrieves the loan details of an account
Approved Loans
GETRetrieves the list of approved accounts created from the loan products
Offer Loans
GETRetrieves the list of simulated accounts created under the given lending product line
Closed Loans
GETRetrieves the list of closed or matured accounts for a given lending product line
Pending Loans
GETRetrieves the list of accounts in hold status for the given lending product
Unapproved Loans
GETRetrieves the list of unapproved accounts for the given loan product
Drawdown Information
This service helps you to fetch drawdown related information.
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Retrieves the balance details such as commitment balances, utilized balances.
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Retrieves the past dues and overdues for a drawing
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Retrieves the list of loans that are getting rolled over arrangementId, accountId, customerId, product name, currency, amount, value date, rollover date.
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Drawing rules such as borrower, currency, product and product group are defned for drawdown under facility level.
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Retrieves the details such as rollover date, rollover status etc of pending drawdowns and rollovers for a drawing.
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Retrieves the corporate drawing details
Repayment Information
This service helps you to fetch repayment related information.
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Retrieves the information of movements on a credit line such as transaction reference, transaction amount, transaction currency, limit id etc.
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Retrieves the settlement details for the given arrangement such as payment type, payin account, payin percentage, payin amount, payout account, payout percentage, payout amount, etc
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Retrieves the repayment schedule details for an arrangement with simulation reference number
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Retrieves the schedule payment information for paid and upcoming installments details
Product Information
This service helps you to fetch product related information.
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Retrieves all the products available in the catalogue with details such as product,productline and productgroup details
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Retrieves the catalogued conditions of a given product
Fees & Charges
Fees and charges are the cost associated with maintaining an account and using its various services and features. These costs can vary depending on the type of account and the specific services used by the account holder.
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Retrieves the charge details of an account
Bill Details
You can fetch the simulation details of the contract based on the selection criteria. It returns the bill details of the loan.
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Retrieves the simulation details of the contract based on the selection criteria. It returns the bill details of the loan
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Retrieves the outstanding amount to be paid for a loan
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