- Teller User Guide
- Remittances
- Banker's Cheque
- BC Issue Against Account
8.1.1 BC Issue Against Account
The Teller can use the BC Issue Against Account screen to issue a BC against the CASA of a customer.
- On the Homepage, from Teller mega menu, under
Remittances, click BC Issue -
Account or specify BC Issue - Account in
the search icon bar and select the screen.The BC Issue Against Account screen is displayed.
- On the BC Issue Against Account screen, specify the
fields. For more information on fields, refer to the field description
table.
Note:
The fields marked as Required are mandatory.Table 8-1 BC Issue Against Account - Field Description
Field Description Issuing Branch Code
Displays the code of the logged-in branch.
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 Payable Branch Code and Payable Branch Name fields 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 specify 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.MICR No
Specify the MICR number and validate. If not specified, the system generates the MICR number based on the maintenance setup.
BC No
Displays the BC number.
Mode of Charge
Select the mode of charge from the drop-down values (Account or Other Account).
Charge Account
Specify the charge account number. The following conditions apply based on the value selected for Mode of Charge:
-
If the Mode of Charge is selected as Account, the user needs to capture the account from which the charges are to be deducted.
Note:
If the Mode of Charge is selected as Account, the system displays the Drawer Account by default. Else, this field is kept blank and the user can input the valid account number. -
If Mode of Charge is selected as Other Account, the user needs to capture another account 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 Account, and it can be modified.
-
- Click on the Funding Details data segment.The Funding Details data segment is displayed.
- 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 8-2 Funding Details - Field Description
Field Description Drawer Account
Specify the account number of the customer who has requested the BC.
Drawer Name
Displays the name of the specified drawer account number.
Cheque Number
Specify the cheque number of the drawer account.
Note:
The system validates the status of the cheque and prompts an error message if incase of a Used or Stopped or Invalid cheque.Cheque Date
Specify the date as mentioned in the cheque.
Exchange Rate
Displays the exchange rate used to convert the BC currency into account currency, and it can be modified.Note:
If the transaction currency is the same as the account currency, the system will display the exchange rate as 1. This field is displayed only ifMulti-Currency Configuration
at Function Code Indicator level is set as Y.Account Amount
Displays the transaction amount converted in terms of account amount based on the exchange rate.Note:
This field is displayed only ifMulti-Currency Configuration
at the Function Code Indicator level is set as Y.Mode of Charge
Select the mode of charge from the following drop-down values (Account or Other Account).
Charge Account
This field is populated based on the following criteria:-
If Account is selected as Mode of Charge, the drawer account number will be selected as charge account.
-
If Other Account is selected as Mode of Charge, specify the other account number in this field.
Total Charges
Displays the total charges applicable for the BC issuance.Note:
This field is displayed only ifTotal Charges Configuration
at the Function Code Indicator level is set as Y. -
- Specify the charge details. For information on the fields in the Charge Details segment, refer to Charge Details.
- 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.
Note:
System shall automate the completion of payment transactions from Journal log, once the ‘Success’ notification is received from Oracle Banking Payments based on the flag Auto Processing as Y in TRANSACTION.SRV_TM_BC_PARAM_DTLS. (When Auto Processing is ‘N’, then Maker-Checker-Maker-Maker and when Auto Processing is Y then Maker-Checker-Maker).
Parent topic: Banker's Cheque