2.5.1 Create Hybrid Drain Pool
This topic describes the systematic instructions to enable the user to build the hybrid structure with a pool on the top or it can be a sweep.
The user can search and select the accounts to be linked to the selected header/parent account. The filtered account list for which the user has access to will appear for linking the accounts. For GCIF enabled environment, the account list also shows the linked party account of the transaction party.
The user can create the instructions and frequency for the
account pair.The Create Hybrid Structure - Set
Instructions – Instructions & Frequency screen displays. The
steps to take to set the instructions for the instructions and frequency screen
are as follows.
Figure 2-150 Create Hybrid
Structure – Set Instructions – Instructions & Frequency
The user can create the reverse frequency for the account
pair.The Create Hybrid Structure - Set Instructions –
Reverse Sweep screen displays.
Figure 2-153 Create Hybrid
Structure – Set Instructions – Reverse Sweep Table 2-106 Create Hybrid
Structure - Set Instructions – Reverse Sweep – Field Description The list displays the frequencies for which
the BOD is enabled. Note: This
field appears only if the Reverse Sweep
Allowed toggle is enabled.
Field
Description
Reverse Sweep
Allowed
Select the toggle to enable the reverse sweep
for the account pair.
Reverse
Frequency
Select the frequency at which the reverse
sweep for the account structure should be executed.
The user can select the nominated account for the accounts.
The Create Hybrid Structure – Set Instructions – Drain Pool screen appears.
For more information on fields, refer to the field description table.Figure 2-155 Create Hybrid Structure - Set Instructions – Drain Pool
Table 2-108 Create Hybrid Structure - Set Instructions – Drain Pool– Field Description
| Field | Description |
|---|---|
| Account No. & Name | Select the account number and name of the
account to nominate the account for the drain pool.
Note: By default, this field is selected as No. |
| Party Name | Displays the party name of the account. |
| Branch | Displays the branch of the account. |
| Currency | Displays the currency type of the account. |
As a part of following step, the user can view and update the
priority of other structures too and can also view the details of accounts in common
participating in multiple structures.
Note: Figure 2-156 Create Hybrid
Structure – Structure Priority Table 2-109 Create Hybrid
Structure - Structure Priority – Field Description Note: Only accessible internal
accounts of the primary party and the linked parties as
part of GCIF will be displayed. This field will appear
only if the user selects the charge account
number.
Field
Description
Structure Code
Displays the structure ID of the
structure.
Structure Name
Displays the name of the structure.
Charge
Account
Displays the charge account number and
account name from which the charges can be collected.
Parent/Child Account
Information displayed on parent/child
account card in tree view.
Account Name
Displays the name of the account.
Account
Number
Displays the account number of the user in
masked format.
Location
Displays the location of the account.
Account Type
Displays the type of account.
Account
Currency
Displays the currency of the account.
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Displays the number of the child account(s)
linked to the parent account.
This screen enables the user to view the added accounts in
both the Tree and Table view.The Create Hybrid Structure –
Submit - Tree View screen displays
Figure 2-159 Create Hybrid
Structure – Submit - Tree View Table 2-112 Create Hybrid
Structure – Submit - Tree View – Field Description Note: Only accessible internal
accounts of the primary party and the linked parties as
part of GCIF will be displayed. This field will appear
only if the user selects the charge account
number.
Note:
Field
Description
Structure Code
Displays the structure ID of the
structure.
Structure Type
Displays the type of the structure.
Structure Name
Displays the name of the structure.
Charge Account
Displays the charge account number and
account name from which the charges can be collected.
Header Account
Information displayed on notional header
account card.
Branch
Displays the branch name for the header
account.
Currency
Displays the currency for the header
account.
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Displays the number of the child account(s)
linked to the parent account.
Real Account
Information displayed on real account
card.
Account Name
Displays the name of the account.
Account Number
Displays the account number of the user in
masked format.
Location
Displays the location of the account.
Account Type
Displays the type of account.
Account
Currency
Displays the currency of the account.
![]()
Displays the number of the child account(s)
linked to the parent account.
This screen enables the user to review the updated structure
details in the new structure.
Figure 2-161 Create Hybrid Structure -
Review
Create Hybrid Structure – Pool - Create Header Account (If the user
selects Pool in the pop up)As a part of following step, the user can
create the header account in which the funds will concentrated. The below screen
displays when the user selects pool option in the pop up.
Table 2-114 Create Hybrid
Structure – Create Header Account - Field Description
Field
Description
Branch
Select the branch name for the header account.
Currency
Select the currency for the header account.
Once the header account is added, the user can further link
the child accounts. This screen is available in both Tree and Table view.The Create Hybrid Structure – Added Header Account
screen displays in tree view.
Table 2-115 Create Hybrid Structure - Added Header Account - Tree View - Field
Description Note: Only accessible internal
accounts of the primary party and the linked parties as
part of GCIF will be displayed. This field will appear
only if the user selects the charge account
number.
Field
Description
Structure Code
Displays the structure ID of the
structure.
Structure Type
Displays the type of the structure.
Structure Name
Displays the name of the structure.
Charge Account
Displays the charge account number and
account name from which the charges can be collected.
Header Account
Information displayed for notional header
account card.
Account Name
Displays the name of the header
account.
Account Number
Displays the account number of the header
account in masked format.
Location
Displays the location of the account.
Account Type
Displays the type of account.
Account
Currency
Displays the currency of the account.

Displays the number of the child account(s)
linked to the header account.
Once the child accounts are selected, the user can further set
the allocation percentage for each child accounts. This screen is applicable only if
the Reallocation Method is selected as Percentage
Allocation.
Note: Table 2-118 Create Hybrid Structure -
Reallocation – Field Description By default, the value displays as
Percentage Allocation. The user
can select and change, if required.
Field
Description
Reallocation
Method
Displays the method in which the interest is
shared with the participating accounts within the account
structure.
Account Number &
Name
Displays the account numbers and name of the
account in masked format.
Allocation
Percentage
Specify the allocation percentage for the child
account.
The user can further add accounts/drain pool structure as sweep concentration method or accounts as pool cash concentration method from the third layer onward:
- If the user continues to link pool accounts under a child node, the above flow of linking will continue.
- If the user chooses to link sweep accounts under a child node, then the below flow will apply.
The user can search and select the accounts to be linked to the selected header/parent account. The filtered account list for which the user has access to will appear for linking the accounts. For GCIF enabled environment, the account list also shows the linked party account of the transaction party.
The user can create the Instructions & Frequency for the account pair. The steps to take to set the instructions for the instructions and frequency screen are as follows.
The user can create the reverse frequency for the account pair.
The Create Hybrid Structure - Set Instructions – Reverse Sweep screen displays.
For more information on fields, refer to the field description table.Table 2-122 Create Hybrid Structure - Set Instructions – Reverse Sweep – Field Description
| Field | Description |
|---|---|
| Reverse Sweep Allowed | Select the toggle to enable the reverse sweep for the account pair. |
| Reverse Frequency | Select the frequency at which the reverse
sweep for the account structure should be executed.
The list displays the frequencies for which the BOD is enabled. Note: This field appears only if the Reverse Sweep Allowed toggle is enabled. |
As a part of following step, the user can view and update the
priority of other structures too and can also view the details of accounts in common
participating in multiple structures.
Note: Table 2-125 Create Hybrid Structure - Structure Priority – Field
Description Note: Only accessible internal
accounts of the primary party and the linked parties as
part of GCIF will be displayed. This field will appear
only if the user selects the charge account
number.
Table 2-126 Create Hybrid Structure – Structure Priority – Accounts Tab - Field
Description Table 2-127 Create Hybrid Structure – Structure Priority – Structure Priority Tab
- Field Description
Field
Description
Structure Code
Displays the structure ID of the
structure.
Structure Name
Displays the name of the structure.
Charge
Account
Displays the charge account number and
account name from which the charges can be collected.
Parent/Child Account
Information displayed on parent/child
account card in tree view.
Account Name
Displays the name of the account.
Account
Number
Displays the account number of the account in
masked format.
Location
Displays the location of the account.
Account Type
Displays the type of account.
Account
Currency
Displays the currency of the account.
![]()
Displays the number of the child account(s)
linked to the parent account.
Field
Description
Account Number and
Name
Displays the account number and name of the
structure in masked format.
Structure ID
Displays the structure ID of the
structure.
Structure
Name
Displays the name of the structure.
Structure
Type
Displays the type of the structure.
Structure
Status
Displays the status of the
structure.
Field
Description
Structure ID
Displays the structure ID of the
structure.
Structure
Description
Displays the description of the
structure.
Party ID | Party
Name
Displays the party ID and party name of the
structure in masked format.
Structure
Type
Displays the type of the structure.
Structure
Status
Displays the status of the
structure.
Existing Structure
Priority
Displays the existing structure priority of
the structure.
New Structure
Priority
Specify the new structure priority of the
structure.
This screen enables the user to view the added accounts in both the Tree and Table view.
The Create Hybrid Structure – Submit - Tree View screen displays.
For more information on fields, refer to the field description table.Table 2-128 Create Hybrid Structure – Submit - Tree View – Field Description
| Field | Description |
|---|---|
| Structure Code | Displays the structure ID of the structure. |
| Structure Type | Displays the type of the structure. |
| Structure Name | Displays the name of the structure. |
| Charge Account | Displays the charge account number and
account name from which the charges can be collected.
Note: Only accessible internal accounts of the primary party and the linked parties as part of GCIF will be displayed. This field will appear only if the user selects the charge account number. |
| Header Account | Information displayed on notional header account card. |
| Branch | Displays the branch name for the header account. |
| Currency | Displays the currency for the header account. |
| Displays the number of the child account(s) linked to the parent account. | |
| Real Account | Information displayed on real account card. |
| Account Name | Displays the name of the account. |
| Account Number | Displays the account number of the user in masked format. |
| Location | Displays the location of the account. |
| Account Type | Displays the type of account.
The available options are:
|
| Account Currency | Displays the currency of the account. |
| Displays the number of the child account(s) linked to the parent account. |
Note:
Only Header node and its immediate child accounts will appear on the screen initially. To view further nodes, click on the respective nodes to expand and view its child accounts. Pagination will be displayed at every level of structure layer and displayed if the number of nodes exceeds the allowed limit as per the configuration.This screen enables the user to review the updated structure details in the new structure.
Parent topic: Drain Pool Structure
























