3.4 IPO Subscription Detail
This topic contains the following sub-topics:
- Process FCIS IPO Subscription Detail
This topic provides the systematic instructions to enter an IPO Subscription request into the system. - UH and Fund Tab
This topic explains the UH and Fund tab of FCIS IPO Subscription Detail. - Transaction Tab
This topic explains the Transaction tab of FCIS IPO Subscription Detail. - Other Tab
This topic explains the other tab of FCIS IPO Subscription Detail. - Intermediary Tab
This topic explains the Intermediary tab of FCIS IPO Subscription Detail. - Load Override Tab
This topic explains the Load Override tab of FCIS IPO Subscription Detail. - KYC and Document Tab
This topic explains the KYC and Document tab of FCIS IPO Subscription Detail. - Add Info Tab
This topic explains the Add Info tab of FCIS IPO Subscription Detail. - Fee Payment Tab
This topic explains the Fee Payment tab of FCIS IPO Subscription Detail. - Certificate Tab
This topic explains the Add Info tab of FCIS IPO Subscription Detail. - Limit Order Tab
This topic explains the Limit Order tab of FCIS IPO Subscription Detail. - Settlement Details Button
This topic explains the Settlement Details button of FCIS IPO Subscription Detail. - Receipt Detail Button
This topic provides the information on receipt details button in FCIS IPO Subscription Detail Screen. - Project Allocation Details Button
This topic provides information about project allocation details button in FCIS IPO subscription detail screen. - Allocation Details Button
This topic explains the Allocation Details button of FCIS IPO Subscription Detail. - Save Transaction
This topic provides instructions to save transaction details in FCIS IPO Subscription Detail Screen. - Transaction Processing Logic for Currency of Expression Funds
This topic provides information about transaction processing logic for currency of expression funds details.
Parent topic: Processing Transaction Requests