16.1 Deposit Balances
Table 16-2 Deposit Balances
| Field Names | Description |
|---|---|
| Report Name | Deposit Balances |
| Report Level Filters |
Product Type: Select the product type from the drop-down list. Product: Select the product from the drop-down list. Customer Type: Select the customer type from the drop-down list. Currency Name: This is a drop-down filter of the following options: Natural Currency Local Currency Reporting Currency |
| Report Description | This report displays a list of all the deposits which is part of the given Legal Entity which is selected in the Contractual Page of the Dashboard. The currency type is selected as one of the following: Natural Currency, Local Currency, and Reporting Currency. |
| Report Type |
Tabular Report The Average Monthly Balance and EOP Balance will be displayed in the denomination of the currency type selected. For instance if the natural currency of the account is Indian Rupees, the currency type is selected as reporting currency and the reporting currency mapped to the selected legal entity is US Dollars, then the balances will be converted to US Dollar based on the exchange rate prevalent on the Run Execution Date and displayed in dollars. |
| Dimensions |
Product Customer Type Customer Account |
| Base Measures | Delinquent Amount |
| Computed Measures | Not applicable |
| Drill-through On | Not applicable |
| Drill-through’s | Not applicable |