1. Preface

1.1 Introduction

This manual is designed to help you to quickly get acquainted with the Oracle FLEXCUBE Enterprise Limits and Collateral Management (hereafter referred to as Oracle FLEXCUBE ELCM) system. It provides an overview and takes you through the various steps involved setting up and maintaining the Oracle FLEXCUBE ELCM system.

You can further obtain information specific to a particular field by placing the cursor on the relevant field and pressing <F1> on the keyboard.

1.2 Audience

This manual is intended for the following User/User Roles:

Role

Function

Back office data entry clerk

Input functions for funds

Back office managers/officers

Authorization functions

Product Managers

Product definition and authorization

End of day operators

Processing during end of day/ beginning of day

1.3 Documentation Accessibility

For information about Oracle's commitment to accessibility, visit the Oracle Accessibility Program website at

1.4 Organization

This manual is organized into the following chapters:

Chapter 1

About this Manual gives information on the intended audience. It also lists the various chapters covered in this User Manual.

Chapter 2

Limits & Collaterals explains a series of maintenance options facilitated by Oracle FLEXCUBE for Enterprise Limits and Collateral Manage­ment.

Chapter 3

Credit Desktop discusses the integrated credit desktop of Oracle FLEX­CUBE

Chapter 4

Queries explains about the query functions and helps you to query

records on Liabilities, Transactions, Collateral Covenants, and so

on.

Chapter 5

Reports provide a list of reports that can be generated in this module and also explains their contents.

Chapter 6

Annexure 1 - Utilization Transactions explains how to maintain all utili­zation transactions in Oracle FLEXCUBE ELCM.

Chapter 7

Annexure 2 - Value Dated Facility discusses the feature to maintain facility details based on a specific value date.

Chapter 8

Annexure 3 – Revaluation describes how to maintain the fluctuating exchange rates of marketable securities such as currency and collat­eral, over a period of time.

Chapter 9

Annexure 4 - Gateway Processes & Interfaces details on how an exter­nal system can be integrated with Oracle FLEXCUBE ELCM system for communication.

Chapter 10

EOD - BOD Batches discussed the function IDs for EOD and BOD Batches.

Chapter 11

Notifications explains the various notification codes.

Chapter 12

Function ID Glossary has alphabetical listing of Function/Screen ID's used in the module with page references for quick navigation.

1.5 Acronyms and Abbreviations

You may find the following acronyms/abbreviations in this manual.

CIF

Customer Information File

CASA

Current Account and Savings Account

DDA

System that holds the CASA account and balances

ELCM

Enterprise Limits and Collateral Management

ECA

External Credit Approval

FCUBS

Oracle FLEXCUBE Universal Banking Solution

GW

Gateway

HTTP

Hyper Text Transfer Protocol

ID

Identification Number

Mark EOTI

Mark End of Transaction Input

Mark TI

Mark Transaction Input

OFSAA

Oracle Financial Services Analytical Applications

ORMD

Oracle Revenue and Billing Management

PK

Primary Key

RDBMS

Relational Data Base Management System

SMS

Security Services

UI

User Interface

VD

Value Date

XML

eXtensible Mark-up Language

XSD

XML Schema Definition

XSLT

eXtensible Stylesheet Language Transformations

1.6 Glossary of Icons

This User Manual may refer to all or some of the following icons:

Icons

Function

 

Exit

 

Add row

 

Delete row

 

Option List

1.7 Related Documents

For more information refer to the Oracle FLEXCUBE manuals on: