1.1.12 Reissue Allocation
This topic provides information on reissue allocation.
Select the option Reissue
in the Transaction Type of Allocation Detail screen to trigger the allocation of unallotted reissue transactions on a business day.
Refer Workflow of Allocation Process for executing the allocation process.
Table 1-11 Reissue Allocation
Reissue Allocation | Description |
---|---|
Certificate details |
The certificate numbers and DNR numbers are also affected by the reissue transaction. The certificates are reissued based on the certificate denomination details as defined in the fund rules or as requested by the unit holder, or as per the earlier issue. |
Reflection of allocated units in the system database |
If the reissue transaction is successfully allocated
through this menu item, the changes are reflected in the
following data stores in the database:
If any of these counter limits is exceeded or if any of the fund rules set up at the Fund Manager are violated then an error is logged against the reissue transaction. Confirmation of the reissue transaction is made after the allocation is successfully completed. |
Note:
Amendment of a reissue transaction is not allowed.Parent topic: Allocation Method and Transaction Types