3.1.5 Payment Details Tab
This topic explains the payment details tab of Policy Transaction-TOPUP Detail screen.
- On Policy Transaction-TOPUP Detail screen, click Payment Details tab to capture the details of payments made by the Policy Holder towards processing of the transaction in this tab.The Payment Details are displayed.
Figure 3-6 Policy Transaction-TOPUP Detail_Payment Details Tab
- On Payment Details tab, specify the fields. For more information on fields, refer to the field description table.
Table 3-5 Payment Details - Field Description
Field Description Payment Details This section displays the following details.
Bank Code Alphanumeric; 12 Characters; Optional
Select the bank code from the option list.
Description Display
The system displays the description for the selected bank code.
Branch Code Alphanumeric; 12 Characters; Optional
Select the branch code from the option list.
Branch Name Display
The system displays the name of the selected branch code.
Cheque Number Alphanumeric; 16 Characters; Optional
Enter the cheque number of the cheque /draft number of the demand draft by which the payment is being made.
Clearing Date Date Format, Optional
Specify the clearing date of the payment.
Cheque Date Date Format, Optional
Enter the cheque date of the cheque /draft number of the demand draft by which the payment is being made.
Account Operation Type Display
The system displays the type of account operation.
IBAN Alphanumeric; 40 Characters; Optional
Specify the International Bank Account Number (IBAN) of the account holder.
Payment Mode Alphanumeric; 2 Characters; Optional
Specify the mode through which the payment is made by the Policy holder.
Payment Type Optional
Select whether the payment will be made by the Policy holder or a third party from the drop-down list.
Payment Date Date Format; Mandatory
Specify the date on which the initial investment was done. You can deposit the amount in different currencies and on different dates.
Payment Currency Alphanumeric; 3 Characters; Optional
Enter the currency in which the initial investment is being done. The initial amount can be deposited in multiple currencies.
Payment Amount Numeric; 30 Characters; Optional
Enter the initial investment amount being paid in the particular currency.
Account Type Alphanumeric; 1 Characters; Optional
Select the account type of the transfer account.
Account Number Alphanumeric; 20 Characters; Optional
Specify the number of the transfer account.
Account Currency Display
The transaction currency is displayed. You are not allowed to change this value.
Account Holder Name Alphanumeric; 16 Characters; Optional
Specify the account holder name.
Exchange Rate Details This section displays the following details.
Source ID Alphanumeric; 6 Characters; Optional
Specify the source ID.
Exchange Rate Applied Numeric; 15 Characters; Optional
Specify the applied exchange rate.
Transaction Currency Amount Numeric; 30 Characters; Optional
Specify the transaction currency amount.
Override Exchange Rate? Optional
Select if exchange rate has to be overridden or not from the drop-down list. The list displays the following values:- Yes
- No
FX Deal Date Date Format; Optional
Specify the FX deal date.
FX Value Date Date Format; Optional
Specify the FX value date.
However if required you can override the default values and input new values.
If exchange rate details are not available for any settlement when the transaction or policy is entered, the system will not generate a UT transaction.
Once all the settlement details have been enriched in the Policy Transaction Exchange Rate Enrichment screen and the FCIS Enrich Exchange Rate Detail screen, the system will compute the transaction amount and generate the UT transaction.
If it is not enriched, then the system will pick the exchange rate during EOD and generate the UT transaction.
- Interest Details
This topic provides the systematic instructions to calculate and display the interest amount in the Policy Transaction-TOPUP Detail screen.
Parent topic: Process Policy Transaction-TOPUP Detail