1.1.2.5 Disbursement Schedules
This topic describes the systematic instructions to Disbursement Schedules segment.
Disbursement Schedule details can be added for the application in the Enrichment Stage.
- Initiate a Loan Origination and navigate to a specific data segment.
- From Loan Origination , click Disbursement
Schedules tab and provide the required details.The Disbursement Schedules screen dispalys.
For information on the screen fields, refer to the field description table below.
Table 1-8 Disbursement Schedules - Field Description
Field Description Auto Disbursement Select the toggle to auto disbursement. Manual intervention is not required, automatic disbursement of amount will be done.
Schedule Date Select the date on which disbursement is to be done. Disbursement Currency Displays the currency in which the amount is to be disbursed. Total Disbursement Amount Displays the total amount available for disbursement. Amount To Disburse Specify the amount that borrower need to be disbursed in a schedule. Percentage Of Disbursement Specify the percentage of total amount that is being disbursed. Frequency Select the time intervals in which amount is to be disbursed. Unit Select the unit of Frequency. No Of Schedules Select the number of schedules in which the loan needs to be disbursed. Split Sequence Number Select the split sequence number. The unique number given to a particular split.
Split Percentage Specify the percentage of amount that will be paid in a split. Split Amount Specify the amount that will be paid in a split. Payment Mode Select the mode of payment in which the amount will be disbursed. Settlement Account Number Select the account to which the amount will be disbursed. Settlement Account Branch Displays the branch in which the account is present. Settlement Account Currency Displays the currency in which amount disbursement will happen. - Click Save & Close, to save and close the details.
- Click Next, to navigate to the next screen.
Parent topic: Loan Origination Enrichment
