6.2.3 Settlement Scheme Balance Query – Value Dated Balances
The following table describes the fields displayed for the balances fetched for settlement scheme balance query.
Table 6-5 Settlement Scheme Balance Query – Value Dated Balances
Field | Description |
---|---|
Value Date |
Displays the Value Date of the transactions linked to the selected scheme. |
Opening Dr Balance |
Displays the Net Amount Receivable by the bank, in Settlement Currency, at the beginning of the selected value date.
|
Opening Cr Balance |
Displays the Net Amount Payable by the bank, in Settlement Currency, at the beginning of the selected value date.
|
Dr Movement of the Day |
Displays the Net Amount Receivable by the bank, in Settlement Currency, calculated for the group of transactions with the selected value date, where the bank receives cash. |
Cr Movement of the Day |
Displays the Net Amount Payable by the bank, in Settlement Currency, calculated for the group of transactions with the selected value date, where the bank pays cash. |
Closing Dr Balance |
Displays the Net Amount Receivable by the bank, in Settlement Currency, at the end of the selected value date.
|
Closing Cr Balance |
Displays the Net Amount Payable by the bank, in Settlement Currency, at the beginning of the selected value date.
|
Parent topic: Settlement Scheme Balance Query