Table of Contents
- Title and Copyright Information
- Preface
- 1 Retail Lending Servicing - An Overview
- 2 Maintenance
-
3
Operation
- 3.1 Account On-boarding
- 3.2 Batch Operations
- 3.3 Common Action
- 3.4 Accounts
- 3.5 Balances
- 3.6 Instruction Preferences
-
3.7
Repayment
- 3.7.1 Bill Status Inquiry
- 3.7.2 Closure Quote
-
3.7.3
Loan Payment and Closure
-
3.7.3.1
Billing Account
-
3.7.3.1.1
Payment and Closure Details for
Billing Accounts
- 3.7.3.1.1.1 Paying by Pay Bills Option
- 3.7.3.1.1.2 Paying by Close Account Option
- 3.7.3.1.1.3 Viewing Simulation Details
- 3.7.3.1.1.4 Settlement through Customer Account
- 3.7.3.1.1.5 Settlement through Other's Customer Account
- 3.7.3.1.1.6 Settlement through Ledger
- 3.7.3.1.1.7 Settlement through External Account
-
3.7.3.1.1
Payment and Closure Details for
Billing Accounts
-
3.7.3.2
Non-Billing Account
-
3.7.3.2.1
Payment and Closure Details for
Non-Billing Accounts
- 3.7.3.2.1.1 Paying by Pay Dues Option
- 3.7.3.2.1.2 Paying by Pay Partially Option
- 3.7.3.2.1.3 Paying by Close Account Option
- 3.7.3.2.1.4 Manage Fees
- 3.7.3.2.1.5 Viewing Simulation Details
- 3.7.3.2.1.6 View Breakup of Amount Due
- 3.7.3.2.1.7 Settlement through Customer Account
- 3.7.3.2.1.8 Settlement through Other's Customer Account
- 3.7.3.2.1.9 Settlement through Ledger
- 3.7.3.2.1.10 Settlement through External Account
-
3.7.3.2.1
Payment and Closure Details for
Non-Billing Accounts
-
3.7.3.1
Billing Account
- 3.7.4 Statement Inquiry
- 3.8 Schedule
- 4 Functional Activity Codes
- 5 Error Code and Description
- 6 Batch Details
- 7 Accounting Heads
- 8 Event Codes
- 9 Amount Tags
- 10 Accounting Entries
- Index