All Products October 20 Payout Structure

Download as xlsx, pdf, or txt
Download as xlsx, pdf, or txt
You are on page 1of 18

PERSONAL LOAN PAYOUT STRUCTURE FOR PRIME & EMERGING ( OGL ) LO

BANK / NBFC CODE


ADITYA BIRLA DAUHYD03451
AXIS BANK ( Metro ) DSA140019
AXIS BANK( Urban ) DSA140019
BAJAJ 68075
BAJAJ ( E Refferal ) 68075
FULLERTON ( Doctor ) MA150
FULLERTON ( Normal ) MA150
HDFC ( Emerging ) GOVT - FRESH CASES ONLY 322186
HDFC ( Emerging ) 322186
HDFC BANK (Prime ) 322186
HDFC ( Prime ) GOVT FRESH CASES ONLY 322186
HERO FINCORP OMPL00138
ICICI < 24 MONTHS TENOR 256253
ICICI BANK ( Prime ) 256253
ICICI BANK Emerging ( OGL ) 256253
IDFC FIRST BANK 63780
INCRED 1187
INDUSIND SJHY
INDUSIND SJHY
KOTAK MAHINDRA 301523058
MUTHOOT PLDS7128057
SCB 2095610
TATA CAPITAL ( Normal ) 8075240
TATA CAPITAL (OD) 8075240
FINNABLE STARPOWERZ
YES BANK ( GOVT ) DSAPLNHYD12
YES BANK ( PVT ) DSAPLNHYD12
YES BANK ( SILVER ) DSAPLNHYD12
PAYSENSE 29
Terms & Conditions
1.The above payout differs if there is any subvention or waivers in Rate or PF.
2.The above payout may change subject to any changes in payout from Banks / NBFCs and the same will be in
3.If any amount is recovered from the bank due to cancellation of cases, Penalty or any other reason, the sam
4.Payouts will be calculated on the net amount disbursed in the final disbursement dump sent by the bank /
5.The Pf should be 1.5 % for Personal loans & 2 % for Selfemployed cases for IDFC FIRST BANK
6.For loan amount less than 25 lakhs Pf 1 % Mandatory for SCB
7. Axis bank payout is based on the volume achieved by Starpowerz Location / HUB wise.
MERGING ( OGL ) LOCATIONS PAN INDIA OCT-2020
STAR POWERZ VOLUME ( Crs ) PAYOUT %
- 3.00%
2.20%
2.00%
- 2.60%
- 1.70%
1.80%
3.10%
62115- LOAN ASSIST APP 3.90%
62115- LOAN ASSIST APP 2.90%
62115- LOAN ASSIST APP 2.75%
62115- LOAN ASSIST APP 3.20%
2.70%
- 1.30%
- 2.75%
2.90%
- 3.15%
- 2.60%
BOTH INBT & EXBT 1.90%
FRESH CASES 3.00%
- 2.65%
- 2.60%
- 2.85%
- 2.80%
- 2.00%
- 2.60%
- 3.30%
- 2.90%
- 2.00%
- 3.00%

BFCs and the same will be informed immediately.


r any other reason, the same will be recovered by the company
nt dump sent by the bank / NBFC.
FIRST BANK
BUSINESS LOAN PAYOUT STRUCTURE FOR PAN INDIA OCT-2020

BANK /NBFC CODE


HDFC(PRIME) 322186
HDFC(EMERGING) 322186
ICICI 256253
EDELWEISS - CBI SCHEME STARPOWERZ DIGITAL
EDELWEISS - BANKING STARPOWERZ DIGITAL
FULLERTON - BIL ( HR ) MA150
FULLERTON - SEP ( HR ) MA150
TATA CAPITAL - BIL 8075240
TATA CAPITAL - SEP & BOD 8075240
MAGMA 33878
IDFC BANK - BIL IDFC/5908
IDFC BANK - SEP IDFC/5908
RBL BANK - BIL HYDASTAP
RBL BANK - SEP HYDASTAP
RBL BANK - SBL HYDASTAP
AXIS BANK - BIL ( HR ) DSA7825HYD
ADITYA BIRLA - BIL DAUHYD03451
ADITYA BIRLA - SEP DAUHYD03451
ADITYA BIRLA - STUL DAUHYD03451
SCB BANK - BIL 2095610
SCB BANK - USOD 2095610
YES BANK DSABLNHYD3
KAPITAL TECH - BL DSA1329
HERO FINCORP HYDD0044
LENDING KART 2020
AROHAN FINANCE HYD-DSA-0023
FINPLEX BP000018
U GRO GPO136
INTELLEGROW (BANKING) STARPOWERZ
INTELLEGROW (LACR) STARPOWERZ
NEOGROWTH - BL STARPOWERZ DIGITAL
NEOGROWTH - CASH EXP STARPOWERZ DIGITAL
NEOGROWTH - CASH RETAIL & SCF STARPOWERZ DIGITAL
DEUTSCHE BANK BR247
BAJAJ(ONLY PRIME) 88309
BAJAJ(EMERGING) 88309
BAJAJ (SECURED) 88309
BAJAJ (SECURED) EMERGING 88309
BAJAJ(SEP) 88309
BAJAJ(SEP TOPUP) 88309
BAJAJ(INCOME TERM) 88309
BAJAJ(PROSPECT) 88309
SME CORNOR PNE104
INDIFI FINANCE STARPOWERZ
FEDBANK - BIL 1033618
FEDBANK - SEP 1033618
INDITRADE STARPOWERZ
GROWTH SOURCE DSAGSHYD000127

Terms & Conditions


1. PAYOUT is subject to Subvention due to waivers in Rates & PF offered.
3. SCB & Aditya Birla PAYOUT is subject to 2.00% PF ( EXCL GST ).
4. Fullerton Retail Payout is only for metro cities subject to Mandatory 2.50% PF collection.
6. BAJAJ PF 2.5%+INSURANCE 2% EXCLUDING GST MANDATORY
7. BAJAJ PRIME LOCATIONS LIST :
MUMBAI,DELHI,CHENNAI,BANGALORE,AHME
8. MAGMA ABB PRODUCT MINIMUM ROI MUST BE 23%
DABAD,PUNE,KOLKATA,HYDERABAD,SURAT,B
ARODA,KANPUR,JAIPUR,MADURAI,LUCKNO
W,VIZAG,RAJKOT,NAGPUR,JODHPUR,VAPI,Co
ntai,NASIK,SALEM,INDORE,AGRA,PATNA,TIRU
CHIRAPALLY,VIJAYAWADA,AURANGABAD,VE
LLORE,MYSORE,UDAIPUR,BELGAUM,ERODE,
MORBI,BHIMAVARAM,LUDHIANA,BHUBANES
WAR,GUNTUR,WARANGAL,HUBLI,COCHIN,M
ANGALORE,KOLHAPUR,SOLAPUR,CHANDIGAR
H,RAIPUR
INDIA OCT-2020

Pay out %
3.10%
2.90%
3.10%
90% of PF
3.30%
2.70%
1.80%
2.70%
1.80%
2.70%
3.15%
3.15%
2.70%
2.70%
2.70%
2.70%
2.65%
2.65%
2.80%
2.65%
1.40%
2.75%
2.70%
2.65%
2.30%
2.40%
2.40%
2.40%
2.20%
2.65%
8500/CASE
2.20%
1.20%
2.20%
2.70%
2.50%
1.20%
0.95%
2.45%
1.25%
1.75%
1.20%
2.00%
2.20%
2.20%
1.70%
0.75%
2.40%

ed.

y 2.50% PF collection.
HOME LOAN PAYOUT STRUCTURE FOR PAN INDIA O

BANK / NBFC
HDFC BANK - HL
HDFC LTD - HL
PNB HOUSING - HL
Shinhan Bank - HL
IDFC FIRST BANK - HL
ICICI HFC - HL ( Apna Ghar & Apna Ghar Dreamz )
ICICI HFC - HL ( Normal HL )
YES Bank - HL Affordabale
Federal Bank
FULLERTON GRUHSHAKTI - HL
SUNDHARAM BNP Paribhas Home finance LTD
MAHINDRA & MAHINDRA HOUSING FINANCE (RURAL)
AADHAAR - HL
SHRIRAM HOUSING FINANCE - HL
SCB Bank - HL
TATA HFL- HL
CHOLAMANDALAM - HL
L & T FINANCE - HL
DCB BANK - HL
ADITYA BIRLA Housing Finance - HL
IKF FINANCE - HL & LAP
BANK OF BARODA - HL
KVB Bank - HL
IIFL - HL
INDUSIND - HL
VASTU FINANCE HL
Magma - HL
ICICI Bank - HL
ADITYA BIRLA Affordable Housing Finance - HL
KOTAK - HL
AXIS - HL
KVB NEO - HL
LIC HOUSING - HL
ASPIRE - HL
HOME FIRST FINANCE COMPANY - HL

LAP PAYOUT STRUCTURE FOR PAN INDIA OCT-2020


BANK / NBFC
TATA FSL - LAP (METRO CITY'S)
TATA FSL - LAP (Rest of Metros City's)
PNB HOUSING - LAP
ICICI HFC - LAP ( Micro LAP )
ICICI HFC - LAP ( Normal LAP )
TATA HFL - LAP
ADITYA BIRLA Capital - LAP (STSL) upto 1Cr
Shinhan Bank - LAP
YES Bank - LAP
HERO FINCORP - LAP
HDFC BANK - LAP
U GRO Capital - LAP & Educational Institutional Loans
OXYGO (OFF BUSINESS)
IDFC FIRST - LAP
KVB NEO - LAP
RBL BANK - LAP
IIFL SAMMAN LAP UPTO 20 LACS
SCB - LAP
HDFC LTD- LAP
CHOLAMANDALAM - LAP
INDOSTAR - LAP
IDFC FIRST - SUVIDHA LAP
INDUSIND - LAP
AADHAAR - LAP
SUNDHARAM BNP Paribhas Home finance LTD
Federal Bank
AXIS Bank - LAP
FULLERTON GRUHSHAKTI - LAP
FULLERTON INDIA - Main LAP
Magma - LAP
CLIX CAPITAL - LAP (SCHOOL FUNDING)
L & T FINANCE - LAP
KOTAK - LAP
ICICI Bank - LAP
KVB Bank - LAP
ADITYA BIRLA Capital - LAP
DCB BANK - LAP
FED BANK - LAP
LIC HOUSING - LAP
SHRIRAM CITY - LAP
PROFECTUS CAPITAL - LAP
IIFL - LAP
VASTU FINANCE LAP
VISTAAR - LAP
AXIS FINANCE - LAP
BAJAJ - LAP & LRD (>5CR)
HOME FIRST FINANCE COMPANY - LAP
NCML Finance Private Limited - LAP (>1CR)
bank of baroda

OD PAYOUT STRUCTURE FOR PAN INDIA OCT - 2020

BANK / NBFC
ICICI - OD
AXIS - OD
Kotak - OD
Yes Bank - OD
HDFC BANK - DOD
EDELWEISS - EQUIPMENT FINANCE
HDB - EQUIPMENT FINANCE
PROFECTUS CAPITAL -EQUIPMENT

AVANSE EDUCATIONAL LOANS


PROFECTUS CAPITAL - SCHOOL FUNDING
BANK OF BARODA - OD/ EDUCATIONAL LOANS
Terms & Conditions
1.The above payout differs, if there is any subvention or waivers in Rate or PF.
2.The above payout may change subject to any changes in payout from Banks / NBFCs and the same w
3.If any amount is recovered from the bank due to cancellation of cases, Penalty or any other reason,
4.Payouts will be calculated on the net amount disbursed in the final disbursement dump sent by the
5.High Ticket file payout subject to capping of Bank/Nbfc
UT STRUCTURE FOR PAN INDIA OCT-2020

CODE PAYOUT %
115022 0.85%
STADG 0.85%
KUK/DMA/2809/41579 0.85%
 DSA/RR/004/19-20 0.85%
63780 0.85%
248648 0.85%
248648 0.45%
DSAAHLHYD21 0.85%
3234 0.85%
HPPCHYD034 0.85%
701051 0.85%
372 0.85%
11625 0.85%
HKLKTSL13 0.70%
2088300 0.60%
8049764 0.40%
10000300 ( ROI Min 13% ) 0.40%
DSA_STP 0.45%
HYD0622 0.45%
DALABF04033 0.40%
84 0.40%
DSAWAR000017 0.20%
DMAHY00004 0.45%
113213 0.45%
BEN168079 0.40%
HYDD014 0.40%
002572 0.40%
240898 Metro Code & SBP 240899 Tier 2 & 3 0.40%
DAA20263279 0.40%
9117629 0.40%
7825 0.40%
KVB/NEO/PAN/HYD/2019/09/SERIAL NO - 12 0.40%
APS0002 0.25%
2379 0.25%
OOO677 0.25%

TURE FOR PAN INDIA OCT-2020


CODE PAYOUT %
8075240 1.30%
8075240 0.80%
KUK/DMA/2809/41579 1.30%
248648 1.30%
248648 0.70%
8049764 1.30%
DAA20263279 1.30%
 DSA/RR/004/19-20 1.30%
DSAAHEHYD21 1.20%
HYDD0032 1.15%
115022 1.10%
GP0136 1.10% (1% PF Mandatory)
OXYZO144 1.10%
63780 1.10%
KVB/NEO/PAN/HYD/2019/09/SERIAL NO - 12 1.10%
HYDASTAR 1.05%
113213 1.00%
2088300 1.00%
STADG 0.9% (1% PF Mandatory)
18083 0.85%
171202 0.85%
36816 Based on PF & ROI
BEN137999 0.85%
11625 0.85%
701051 0.85%
3234 0.85%
7825 0.85%
HPPCHYD034 0.85%
MA150 0.85%
002572 0.85%
1446 0.85%
DSA_STP 0.80%
9117629 0.80%
240898 & SBP 240899 0.75%
DMAHY00004 0.75%
DAA20263279 0.70%
HYD0622 0.70%
1033618 0.65%
APS0002 0.60%
STARPOWERZ 0.60%
In Process 0.60%
113213 0.60%
HYDD014 (location wise payout) 0.50%
9000068 0.50%
AFLR58 0.50%
43321 0.50%
000677 0.30%
NFINCON4 0.10%
DSAWAR000017 0.45%

URE FOR PAN INDIA OCT - 2020

CODE PAYOUT %
179996 50% of PF
7825 50% of PF
9117629 50% of PF
DSASBLHYD33 50% of PF
115022 50% of PF
STARPOWERZ 50% of PF
27216 50% of PF
700000543 50% of PF

2041 0.7% ON first disbursement


In Process 0.40%
DSAWAR000017 0.45%

or waivers in Rate or PF.


ges in payout from Banks / NBFCs and the same will be informed immediately.
ncellation of cases, Penalty or any other reason, the same will be recovered by the company
rsed in the final disbursement dump sent by the bank / NBFC.
INSURANCE PAYOUT STRUCTURE FOR THE MONTH OF OCT 2020
LIFE INSURANCE PAYOUT STRUCTURE
INSURANCE COMPANY PRODUCT PAYOUT %
Term Plan 30%
HDFC Life Insurance Company
Traditional Investment Plan 40%
Reliance Life Insurance Company Traditional Investment Plan 40%
Maxlife Insurance Company Traditional Investment Plan 30%
Term Plan 25%
BAJAJ Allianz Life Insurance
Traditional Investment Plan 30%
Term Plan 25%
ADITYA Birla Life Insurance
Traditional Investment Plan 30%
BHARTI AXA Life Insurance Traditional Investment Plan 30%
Term Plan 30%
INDIA FIRST Life Insurance
Traditional Investment Plan 30%
FUTURE GENERALI LIFE INSURANCE Traditional Investment Plan 45%

HEALTH INSURANCE PAYOUT STRUCTURE


INSURANCE COMPANY PRODUCT PAYOUT %
Religare Health Insurance Company Starpowers - LOAN PROTECTOR 30%

Individual Health Plan


HDFC ERGO Health 10%
Family Floater Health Plan
Religare Health Insurance Company Health Plan 30%

Health Plan 30%


Royal Sundaram
Health + Term Plan 30%

Reliance General Insurance HealthGain 30%

Individual Health Plan


Star Health Insurance 25%
Family Floater Health Plan

GENERAL INSURANCE PAYOUT STRUCTURE


INSURANCE COMPANY PRODUCT PAYOUT % ( OD )
COVID-19 (Silver Slab) 10%
COVICOVID-19 (Gold & other) 15%
Motor Insurance 15%
School Bus Insurance 30%
Reliance General Insurance Com. Ltd Office Package Policy 20%
Shopkeeper Policy 20%
Householders Package Policy 20%
Hotel & Restaurent Policy 20%
Travel Insurance 10%
Shriram General Insurance Com. Ltd Motor Insurance 15%
Loan Protector 30%
Royal Sundram General Insurance Com. Ltd

Motor Insurance 13%


HDFC ERGO General Insurance Co. Ltd Motor Insurance 10%
MAGMA General Insurance Co. Ltd Two Wheeler 15%
AUTO LOAN PAYOUT STRUCTURE FOR PAN INDIA OCT-2020

BANK / NBFC PRODUCT CODE PAYOUT ROI


AXIS BANK NEW CAR DSA7825HYD 1.30% 10.50%
HDFC BANK LTD NEW CAR 115022 1.30% 11%
ICICI BANK NEW CAR 23332700.00% 1.30% 10.50%
KOTAK BANK NEW CAR 4622770700.00% 1.30% 10.00%
M&M NEW CAR 2296700.00% 1.00% 20.00%
MUTHOOT MONEY NEW CAR NDDSA/000058 1.30% 16.00%
YES BANK NEW CAR DSAALHYDD48 1.25% 10.00%

Terms & Conditions


1.The above payout differs if there is any subvention or waivers in Rate or PF.
2.The above payout may change subject to any changes in payout from Banks / NBFCs and the same will be in
3.If any amount is recovered from the bank due to cancellation of cases, Penalty or any other reason, the sam
4.Payouts will be calculated on the net amount disbursed in the final disbursement dump sent by the bank /
Cs and the same will be informed immediately.
any other reason, the same will be recovered by the company
dump sent by the bank / NBFC.
CREDIT CARDS PAYOUT SHEET
Smmary of HDFC  Bank CREDIT CARD Payout sheet for the month of OCT.2020
S.NO BANK NAME CODE DSA NAME TYPE OF CARD
1 HDFC BANK XSTR HR ALL CARDS
2 HDFC BANK XSTR HR ALL CARDS ( LOS SOURCING)
Smmary of INDUSIND Bank CREDITCARD Payout sheet for the month of OCT.2020
S.NO BANK NAME CODE DSA NAME TYPE OF CARD
1 INDUSIND Bank SJHY DIGITAL Platinum aura {For INR 899 fee point}
2 INDUSIND Bank SJHY DIGITAL Platinum aura {For INR 899 fee point}
2 INDUSIND Bank SJHY DIGITAL Platinum aura {For INR500 fee point}
3 INDUSIND Bank SJHY DIGITAL Platinum aura {For INR500 fee point}
Smmary of ICICI BANK CREDIT CARD Payout sheet for the month of OCT.2020
S.NO BANK NAME CODE DSA NAME TYPE OF CARD
1 ICICI 610420 HR PLATINUM CHIP
2 ICICI 610420 HR CORAL/MAKE MY TRIP/FERRARI PLATINUM
3 ICICI 610420 HR RUBYX/JET RUBYX/FERRARI SIGNATURE/MU/MMT
4 ICICI 610420 HR SAPPHIRO/JET SAPPIRO
5 ICICI 610420 HR EMARALDE
Summary of CITI BANK CREDIT CARD Payout sheet for the month of OCT.2020
S.NO BANK NAME CODE DSA NAME TYPE OF CARD
1 CITI PFT HR IOC
2 CITI PFT HR CO/CC
3 CITI PFT HR PM

SUMMARY OF RBL BANK CREDIT CARD PAYOUT SHEET FOR THE MONTH OF OCT.2020
S.NO BANK NAME CODE DSA NAME TYPE OF CARD
1 RBL HA64 DIGITAL TITANIUM DELIGHT
of OCT.2020
EXECUTIVE PAYOUT
1800
1800
th of OCT.2020
EXECUTIVE PAYOUT
2700
1700
2500
2200
of OCT.2020
EXECUTIVE PAYOUT
1000
2000
3300
4800
7500
of OCT.2020
EXECUTIVE PAYOUT
900/2700
1200/3500
1800/4500

NTH OF OCT.2020
EXECUTIVE PAYOUT
1400

You might also like