5.2.3.6 Specifying Holiday Treatment for Maturity/Value Date of the Drawdown

In this section of the screen, you can specify the holiday treatment preferences for value date and maturity date falling due on holidays defined for the branch. The holiday treatment details maintained for the drawdown product defaults to the drawdown. You can change your preferences for the drawdown.

For more details on the options available, refer the heading Specifying Additional Preferences for Loan Syndication in the Defining Products for Loan Syndication chapter of this User Manual.