Contents
1. Preface
1.1 Introduction
1.2 Audience
1.3 Documentation Accessibility
1.4 Organization
1.5 Related Documents
1.6 Glossary of Icons
2. Loan Syndication – Overview
2.1 Loan Syndication
2.1.1 Process of Disbursing Syndicated Loan
2.1.2 Tranches
2.1.3 Draw Down Loans
2.1.4 Defining Products
2.1.5 Processing Tranche or Draw Down Contracts
2.1.6 Processing Repayments
2.1.7 Sharing of Fee or Charge Income
3. Reference Information for Loan Syndication
3.1 Maintaining Administrators
3.2 Maintaining Self Participants
3.3 Maintaining Party Types
3.4 Maintaining Diary Events
3.5 Maintaining Message Types for Module
3.6 Indicating Branch Parameters for Loan Syndication
3.7 Mapping LS and CL Products and Components
4. Defining Products for Loan Syndication
4.1 Introduction to Products for Loan Syndication
4.1.1 Product Type
4.1.2 Contracts
4.2 Products for Loan Syndication
4.2.1 Products for Borrower Tranche Contracts and Draw Down Loans
4.2.2 Borrower Facility Product for Main Borrower Facility Contract
4.3 Borrower Tranche / Draw down Product Details
4.3.1 Creating Borrower Tranche / Draw down Product
4.3.2 Maintaining User Data Elements
4.3.3 Margin Component
4.3.4 Maintaining Preferences
4.3.5 Maintaining LS Preferences
4.3.6 Maintaining Components Details
4.3.7 Maintaining Notices and Statements
4.3.8 Maintaining Role to Head
4.3.9 Maintaining Events
4.3.10 Branch Currency Restriction
4.3.11 Maintaining Customer Category Restriction Details
4.3.12 Maintaining UDF
4.3.13 Associating Ad-hoc fee Components
4.3.14 Specifying MIS Details
4.3.15 Associating Parties
4.3.16 Associating Diary Events
4.4 Participant Products
4.4.1 Creating Participant Products
4.4.2 Defining Generic Attributes of Participant Product
4.5 Preferences for Participant Products
4.5.1 Setting Preferences for Participant Products
4.5.2 Associating Diary Events for Participant Products
4.5.3 Associating Ad-hoc Charges
4.6 Borrower Facility products
4.6.1 Creating Borrower Facility products
4.6.2 Defining Generic Attributes of Loan Syndication Product
4.6.3 Specifying Preferences for Syndication Products
4.6.4 Specifying Ad-hoc fee Components for Borrower Facility Products
4.6.5 Associating Appropriate Party Types for Borrower Facility Products
4.6.6 Associating Diary Events for Borrower Facility Products
4.7 Saving Loan Syndication Product
5. Loan Syndication Contracts
5.1 Borrower Facility Contract
5.2 Products for Loan Syndication Contracts
5.3 Borrower Facility Contract Details
5.3.1 Capturing Details for Borrower Facility Contract
5.3.2 Features of Loan Syndication - Contract Input Screen
5.3.3 Contract Tab
5.3.4 Holiday Preferences Tab
5.3.5 Specifying Currency Details
5.3.6 Specifying Borrower Details
5.3.7 Specifying Participant Details
5.3.8 Specifying Party Type Details
5.3.9 Specifying Settlement Instructions
5.3.10 Specifying MIS Details
5.3.11 Specifying Adhoc Charges
5.3.12 Viewing Diary Events
5.3.13 Viewing Events
5.3.14 Capturing User Defined Fields
5.4 Loan Syndication Contracts Details
5.4.1 Processing Loan Syndication Contracts
5.4.2 Tranche-level contracts
5.4.3 Draw Down Contracts
5.4.4 Participant Contracts
5.4.5 Entering Borrower Tranche or Draw Down Contracts
5.5 Borrower Tranche Contracts Details
5.5.1 Capturing Details for Borrower Tranche Contracts
5.5.2 Participant Details for Borrower Tranche Contract
5.5.3 Borrower Details for Tranche Contract
5.5.4 Specifying Borrower Drawdown Products
5.5.5 Specifying Currency Details
5.5.6 Defining schedules for Non-revolving Tranches
5.6 Drawdown Loan Contracts Details
5.6.1 Capturing Details for Drawdown Loan Contracts
5.6.2 Viewing Participant Details for Borrower Draw Down Contract
5.6.3 Common Details for Borrower Tranche and Borrower Draw Down Contracts
5.6.4 Viewing Diary Events
5.6.5 Specifying Parties
5.7 Participant Contracts Details
5.7.1 Creating Participant Contracts
5.7.2 Details for Participant Contracts
5.7.3 Viewing and Amending Participant Contracts
5.7.4 Viewing Syndication Details
5.8 Specifying Interest Margins for Customers
5.9 Amending Participant Details For Borrower Tranche or Draw Down Contracts
5.9.1 Participant Transfer
5.9.2 Transferring Assets between Existing Participants
5.9.3 Viewing Details of Processed Transfers
5.10 Specifying Diary Events for Borrower Syndication Contract
5.10.1 Amending Diary Events for Syndication Contract
5.11 Processing Participant Contracts
5.12 Free Format Messages for Loan Syndication Contracts
5.13 Viewing Syndication Contracts
5.13.1 Viewing Contracts Entered under Main Borrower Facility Contract
5.13.2 Viewing Contracts Entered Under Borrower Tranche Contract
5.13.3 View Summary of Borrower Draw Down Contracts
5.13.4 Viewing Participant Contracts Entered under Main Borrower Facility Contract
5.13.5 Viewing Summary of Participant Tranche Contracts
5.13.6 Viewing Summary of Participant Draw Down Contracts
6. Processing Repayments
6.1 Defining Schedules for Product
6.2 Defining Schedules for Contract
6.2.1 Specifying how schedules falling on holidays must be handled
6.2.2 Specifying how maturity dates falling on holidays must be handled
6.2.3 Specifying how Rate Revision Schedules
6.2.4 Specifying revision schedules for fixed rate interest components
6.2.5 Specifying revision schedules for interest margin components
6.2.6 Processing Repayments Manually
6.2.7 Processing Prepayments
6.2.8 Specifying rate revision for fixed rate interest components
7. Processing Ad-hoc Charges and Fees
7.1 Ad-hoc Charges
7.1.1 Ad-hoc charges collection online
7.2 Entering Schedules for ad-hoc Charge Components
7.2.1 Viewing ad-hoc fee schedule processing details
8. Rolling-over a Drawdown Loan
8.1 Features of the Product Rollover Details screen
8.2 Specifying Contract Rollover Details
8.2.1 Rollover Preferences for Borrower Drawdown Loan Contract
8.2.2 Specifying Details for Normal Rollover
8.2.3 Specifying Details for Rollover Consolidation
8.2.4 Advices for a Rolled-over Loan
8.2.5 Authorizing a Manual Rollover
9. Making Additional Disbursements and Rate Changes
9.1 Value Dated Amendments for a Tranche
9.1.1 Making Value Dated Amendments for a Tranche
9.1.2 Modifying Tranche Principal
9.1.3 Modifying Maturity Date
9.1.4 Saving Amendment
9.1.5 Viewing Schedule Details
9.1.6 Viewing MIS Details
9.1.7 Maturity Date Change
9.2 Making Value Date Amendments for a Drawdown
9.2.1 Modifying Maturity Date
10. Annexure A
10.1 Events, Advices and Accounting Entries
10.1.1 Events for borrower facility products
10.1.2 Participant facility, tranche or draw down product
10.1.3 List of events available for Loan Syndication modules
11. SWIFT Messages for Loan Syndication
11.1 SWIFT Messages
11.1.1 SWIFT Tags and Oracle FLEXCUBE Fields Linkage - MT 643
11.1.2 SWIFT Tags and Oracle FLEXCUBE Fields Linkage - MT 644
11.1.3 SWIFT Tags and Oracle FLEXCUBE Fields Linkage - MT 645
11.1.4 SWIFT Tags and Oracle FLEXCUBE Fields Linkage - MT 646
11.1.5 SWIFT Tags and Oracle FLEXCUBE Fields Linkage - MT 649
12. Customer Correspondence
12.1 Drawdown Notices
12.1.1 New Drawdown Notice to the Borrower
12.1.2 New Drawdown Notice to the participant bank
12.2 Exchange Rate Fixing Advices
12.2.1 Exchange Rate Fixing Advice to Borrower for new Drawdown
12.2.2 Exchange Rate Fixing Advice to Participant for new drawdown
12.3 Interest Rate Fixing Advices
12.3.1 Interest Rate Fixing Advice to borrower for new drawdown
12.3.2 Interest Rate Fixing Advice to Participant for new Drawdown
12.4 Ad-hoc Fee Due Notice
12.4.1 Ad-hoc Fee Due Notice to Borrower
12.4.2 Ad-hoc Fee Due Notice to Participant
12.5 Advice of Payment of Principal and/or of Interest
12.6 Billing Notice
12.6.1 Billing Notice to Borrower
12.6.2 Billing Notice to Participant
12.7 Rate Revision Notice
12.7.1 Rate Revision Notice to Borrower
12.7.2 Rate Revision Notice to Participant
13. Reports
13.1 Participant Drawdown Contribution Report
13.1.1 Selection Options
13.1.2 Contents of the Report
13.2 Participant Tranche Contribution Report
13.2.1 Selection Options
13.2.2 Contents of the Report
13.3 Commitment Fee Due Report
13.3.1 Contents of the Report
13.4 Commitment Fee Paid Report
13.4.1 Contents of the Report
13.5 Tranche Drawdown Detail Report
13.5.1 Selection Options
13.5.2 Contents of the Report
13.6 Drawdown Interest Due Report
13.6.1 Selection Options
13.6.2 Contents of the Report
13.7 Participant Drawdown Repayment Detail Report
13.7.1 Contents of the Report
13.8 Facility Borrower Contact Detail Report
13.8.1 Selection Options
13.8.2 Contents of the Report
13.9 Tranche Borrower Contact Detail Report
13.9.1 Contents of the Report
13.10 Drawdown Borrower Contact Detail Report
13.10.1 Selection Options
13.10.2 Contents of the Report
13.11 Active Facility Drawdown Detail Report
13.11.1 Selection Options
13.11.2 Contents of the Report
13.12 Facilities Detail Report
13.12.1 Contents of the Report
13.13 Participant Facility Detail Report
13.13.1 Contents of the Report
13.14 User Operations Detail Report
13.14.1 Contents of the Report
13.15 Administrator Facility Detail Report
13.15.1 Contents of the Report
13.16 Borrower Facility Detail Report
13.16.1 Contents of the Report
13.17 Ad-hoc Fee Detail Report
13.17.1 Contents of the Report
13.18 Participant Ad-hoc Fee Report
13.18.1 Contents of the Report
13.19 Facility Tranche Volume Detail Report
13.19.1 Contents of the Report
13.20 Facility Utilization Detail Report
13.20.1 Selection Options
13.20.2 Contents of the Report
13.21 Syndication Volume Detail Report
13.21.1 Contents of the Report
13.22 Participant Transfer Detail Report
13.22.1 Selection Options
13.22.2 Contents of the Report
13.23 Fiscal Diary Report
13.23.1 Contents of the Report
13.24 Fiscal Documentation Diary Detail Report
13.24.1 Contents of the Report
13.25 New Base Records Report
13.25.1 Contents of the Report
13.26 FX Unconfirmed Analysis –1 Day Report
13.26.1 Contents of the Report
13.27 Outstanding FX Contracts Report
13.27.1 Selected Options
13.27.2 Contents of the Report
13.28 Outstanding FX Contracts with NPV Profit/Loss Report
13.28.1 Selected Options
13.28.2 Contents of the Report
13.29 MM Unconfirmed Contracts Report
13.29.1 Selected Options
13.29.2 Contents of the Report
13.30 FX Unconfirmed Contracts Report
13.30.1 Selected Options
13.30.2 Contents of the Report
13.31 Comfort – Potential Errors Report
13.31.1 Contents of the Report
13.32 FX Summary Report
13.32.1 Contents of the Report
13.33 MM Summary Report
13.33.1 Contents of the Report
13.34 FX Contracts – Cancelled Report after Cable Sent Report
13.34.1 Contents of the Report
13.35 MM Contracts – Cancelled Report after Cable Sent Report
13.35.1 Contents of the Report
13.36 NPV Handoff – Exceptions Report
13.36.1 Selected Options
13.36.2 Contents of the Report
13.37 Reversed MM Contracts Report
13.37.1 Contents of the Report
13.38 Facility Detail Report
13.38.1 Selected Options
13.38.2 Contents of the Report
13.39 Tranche Borrower Report
13.39.1 Selected Options
13.39.2 Contents of the Report
14. Function ID Glossary