2.6 Remittances

Facilitates issuance and management of banking instruments such as Banker’s Cheques (BC), Demand Drafts (DD/DF), and Cash Remittances. Teller can use Remittances to issue remittances such as demand drafts and banker's cheques, perform payment or cancellation of the issued remittances, and perform further operations on the issued remittances.

Features:

  • Issue, Payment, Refund, and Cancellation (Account, Cash, or GL based).
  • Print and Reprint of Instruments.
  • Inward Registration and Status Inquiry.
  • Integrated ledger posting for audit and compliance.