8.1.3 BC Issue Against GL

The Teller can use the BC Issue Against GL screen to issue a BC against a GL account.

To issue a BC against a GL account:
  1. On the Homepage, from Teller mega menu, under Remittances, click BC Issue - GL or specify BC Issue - GL in the search icon bar and select the screen.
    The BC Issue Against GL screen is displayed.
  2. On the BC Issue Against GL screen, specify the fields. For more information on fields, refer to the field description table.

    Note:

    The fields marked as Required are mandatory.

    Table 8-5 BC Issue Against GL - Field Description

    Field Description

    Issuing Branch Code

    Displays the logged-in branch code.

    Branch Name

    Displays the description of issuing branch.

    Payable Bank Code

    Select the payable bank code. The list of values contains the bank codes maintained using the External Bank Code Maintenance screen.

    Note:

    To remit funds within the same bank, select the logged-in bank code as payable bank code. To remit funds across banks, select the necessary bank code as payable bank code. The fields Payable Branch Code and Payable Branch Name will be enabled after you specify the Payable Bank Code.

    Payable Bank Name

    Displays the name of the selected bank code.

    Payable Branch Code

    Select the branch code of the payable bank. The list of values contains the corresponding branch codes maintained using the Bank Code Maintenance screen.

    Payable Branch Name

    Displays the branch name of the selected branch code.

    BC Amount

    Select the BC currency from the drop-down list and the BC amount.

    BC Date

    Select the date that needs to be mentioned in the BC.

    Note:

    By default, the current posting date is displayed.

    BC No

    Specify the instrument number and validate.

    Note:

    If not specified, the system generates the BC number based on the maintenance setup.

    MICR Number

    Displays the MICR number.

    Payee Details

    Specify the fields.

    Payee Name

    Specify the payee name on which the BC is drawn.

    Address Line 1 to Address Line 4

    Specify the address of the payee.

    Identification Type

    Select the identification type of the payee from the drop-down list.

    Payee Identification Number

    Specify the identification number of the payee.

    Narrative

    Displays the default narrative as BC Issuance Against GL, and it can be modified.

  3. Click on the Funding Details data segment.
    The Funding Details data segment is displayed.
  4. In the Funding Details data segment, specify the fields. For more information on fields, refer to the field description table.

    Note:

    The fields marked as Required are mandatory.

    Table 8-6 Funding Details - Field Description

    Field Description

    GL Account

    Select the account number of the GL against which the BC is issued from the LOV.

    GL Description

    Displays a brief description of the general ledger.

    Drawer Name

    Specify the name of the drawer.

    Identification Type

    Select the identification type of the payee from the drop-down list.

    Identification Number

    Specify the identification number of the payee.

  5. Specify the charge details. For information on the fields in the Charge Details segment, refer to Charge Details.
  6. Click Submit.

    A teller sequence number is generated, and the Transaction Completed Successfully information message is displayed.

    Note:

    The transaction is moved to authorization in case of any warning raised when the transaction saves.

    When you submit, the transaction details are handed off to the Oracle Banking Payments system for instruments processing with external system status as Pending.

    After the transaction is processed and responded from the Oracle Banking Payments with appropriate status, the Teller selects the transaction from Journal Log and completes the transaction.