NCR User Manual PDF
NCR User Manual PDF
NCR User Manual PDF
NATIONAL COLLATERAL
REGISTRY OF
NIGERIA
MAY, 2016
Revision Sheet
Release No. Date Revision Description
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TABLE OF CONTENTS
TABLE OF GLOSSARY .................................................................................................................... V
1.0 GENERAL INFORMATION .................................................................................................. 1
ABOUT COLLATERAL REGISTRY OF NIGERIA ..................................................................................... 1
TYPE OF USERS IN THE COLLATERAL REGISTRY................................................................................. 1
How to Access the Collateral Registry (https://www.ncr.gov.ng ).................................................. 1
Postpaid Client Account Access ...................................................................................................... 1
How to Make Payment .................................................................................................................... 2
2.0 SYSTEM OVERVIEW............................................................................................................. 3
INTRODUCTION.................................................................................................................................... 3
TECHNICAL FEATURES ........................................................................................................................ 3
OPERATING SYSTEM ........................................................................................................................... 3
WEB BROWSER ................................................................................................................................... 3
INTERNET SPEED ................................................................................................................................. 3
3.0 GETTING STARTED .............................................................................................................. 4
HOME PAGE......................................................................................................................................... 4
4.0 USING THE SYSTEM ............................................................................................................. 8
HOW TO CREATE A CLIENT ACCOUNT ............................................................................................... 8
HOW TO AUTHORIZE CLIENT ACCOUNT SETUP REQUEST ............................................................... 11
HOW TO SETUP A POSTPAID ACCOUNT ............................................................................................ 13
HOW TO AUTHORIZE CLIENT POSTPAID ACCOUNT .......................................................................... 15
HOW TO CREATE UNITS.................................................................................................................... 17
CREATING NEW USERS ..................................................................................................................... 18
HOW TO ASSIGN ROLES TO A USER ................................................................................................. 21
CLIENT LOGIN ................................................................................................................................... 22
PASSWORD RESET ............................................................................................................................. 23
HOW TO CHANGE YOUR PASSWORD ................................................................................................ 24
5.0 THE MENU ............................................................................................................................. 28
THE MAIN MENU AND NAVIGATIONAL TABS .................................................................................. 28
The Navigational Tabs .................................................................................................................. 28
The Main Menus ........................................................................................................................... 29
HOW TO REGISTER A FINANCING STATEMENT ................................................................................ 31
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Adding Secured Creditor To A Financing Statement .................................................................... 35
Adding Institutional Debtor To A Financing Statement ............................................................... 36
Adding Individual Debtor To A Financing Statement................................................................... 38
Adding Collateral To A Financing Statement ............................................................................... 39
Attaching A File To A Financing Statement Registration ............................................................. 40
How To Save Financing Statement Registration As Draft ............................................................ 42
How To Use A Saved Draft To Register A Financing Statement .................................................. 42
HOW TO AUTHORIZE A FINANCING STATEMENT ............................................................................. 44
HOW TO HANDLE PENDING TASKS ................................................................................................... 46
Option 1 – Using The Dashboard View ........................................................................................ 46
Option 2 – Using The Task Menu ................................................................................................. 46
HOW TO EDIT A RESUBMITTED FINANCING STATEMENT ................................................................ 49
6.0 AMENDING A FINANCING STATEMENT ...................................................................... 51
HOW TO UPDATE A REGISTRATION .................................................................................................. 51
HOW TO RENEW A REGISTRATION ................................................................................................... 53
HOW TO AUTHORIZE AN UPDATE/RENEWAL ON A FINANCING STATEMENT ................................. 55
HOW TO REGISTER TRANSFER ON A FINANCING STATEMENT ........................................................ 56
HOW TO AUTHORIZE A TRANSFER ON A FINANCING STATEMENT .................................................. 59
HOW TO SUBORDINATE A FINANCING STATEMENT ......................................................................... 60
HOW TO AUTHORIZE SUBORDINATION OF A FINANCING STATEMENT............................................ 64
HOW TO CANCEL A FINANCING STATEMENT ................................................................................... 67
HOW TO AUTHORIZE A CANCELLATION .......................................................................................... 68
7.0 PAYMENTS ............................................................................................................................ 70
HOW TO MAKE AN ONLINE PAYMENT ............................................................................................. 70
HOW TO QUERY AN ONLINE PAYMENT TRANSACTION ................................................................... 75
POSTPAID TRANSACTION SETTLEMENTS .......................................................................................... 77
How to Generate A Batch ............................................................................................................. 77
How to View The Details of a Batch ............................................................................................. 80
How To Download A Batch .......................................................................................................... 82
How to Delete a Batch .................................................................................................................. 83
How to Reconcile a Batch ............................................................................................................. 84
How to View your settlement Payments ........................................................................................ 86
How To View Client Credit Activities: .......................................................................................... 88
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8.0 PERFORMING A SEARCH ................................................................................................. 89
HOW TO SEARCH BY DEBTOR ID NUMBER AS REGISTERED CLIENT ............................................... 89
HOW TO SEARCH BY COLLATERAL AS REGISTERED CLIENT .......................................................... 92
HOW TO PEFORM A SEARCH AS PUBLIC USER ................................................................................ 95
HOW TO VIEW YOUR PREVIOUS SEARCHES ..................................................................................... 99
9.0 ADMINISTRATION ............................................................................................................ 102
MANAGING REGISTERED CLIENTS .................................................................................................. 102
How To Edit Client Profile ......................................................................................................... 102
How To Deactivate A Client ....................................................................................................... 103
How To Activate A Client............................................................................................................ 105
How To Delete Registered Client................................................................................................ 106
Audit Trails ................................................................................................................................. 107
MANAGING USERS .......................................................................................................................... 108
How To Edit User Profiles .......................................................................................................... 108
How To Deactivate A User ......................................................................................................... 109
How To Activate A User.............................................................................................................. 110
How To Delete A User ................................................................................................................ 111
10.0 CONFIGURATION SETTINGS ......................................................................................... 112
HOW TO CONFIGURE PAYMENT FEES ............................................................................................... 112
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TABLE OF GLOSSARY
Term Definition
Administrator The User assigned the Administrator role and responsible system administration,
setting up client accounts, units and managing other users. Each Registered
Institution needs to appoint a Client Administrator with this assigned role.
Bank Code The Central Bank of Nigeria’s assigned code to its regulated financial
institutions.
Business Registration For registration of Financing Statements for organizations, always be sure to
Number select business registration number prefix before entering the full registration
number. Select Business Registration Number Prefix ‘BN’, ‘COOP’, ‘IT’, or
‘RC’.
Cancellation Authorizer The user responsible for authorizing the submission of cancellation on a
financing statement in workflow mode. Authorization is not required for users
assigned with the authorizing role for registering financing statements.
Cancellation Officer The user responsible for creating and submitting cancellation on a financing
statement in workflow mode.
Client Authorizer The user responsible for authorizing the submission of a new financing
statement or any financing change statement on a financing statement in
workflow mode. Authorization is not required for users assigned with the
authorizing role for registering financing statements.
Client Code Client Code is the automatic generated code assigned to the client when the
client membership account is created.
Client Officer The user responsible for creating and submitting a new financing statement or
performing any financing change statement on a financing statement in a
workflow mode.
Collateral Description The description of a collateral by which a Searcher may use to search the
Registry.
Collateral Serial The Serial Number is the number imprinted by the manufacturer on the body of
Number the Planes, Boats, Motor Vehicles, Plant and Machinery.
Date of Expiry The effectiveness of a financing statement registration.
Finance Officer The user responsible for setting up client Postpaid account and managing the
client payments in the application.
Financing Change The user responsible for authorizing the submission of financing change
Statement Authorizer statement on a financing statement in workflow mode. Authorization is not
required for users assigned with the authorizing role for registering financing
statements.
Financing Change The user responsible for creating and submitting financing change statement on a
Statement Officer financing statement in workflow mode.
Financing Statement The user responsible for authorizing the submission of a financing statement in
(FS) Authorizer workflow mode. Authorization is not required for users assigned with the
authorizing role for registering financing statements.
Financing Statement The user responsible for creating and submitting a new financing statement for
(FS) Officer authorization in workflow mode.
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Initial Registration Registration Number is the initial registration number on the financing
Number statement.
PIN Code Payment Identification Number code. The PIN Code is the code issued on your
payment receipt.
Postpaid Account Payment Account held by Registered Clients of the CBN that allows them to be
billed for their use of the NCR to register financial statements and perform
searches on security interests and settle payments at a later period.
Public Client Un-Registered Client User. Such Users can only search the registry.
Reconciliation Reconciliation of a batch is irreversible. A batch is completely reconciled only if
all Postpaid representative banks are included in the batch reconciliation process.
An incomplete reconciled batch may be reconciled any number of times till it is
completely reconciled.
Search Officer The user responsible for generating search reports and obtaining certified search
certificates.
Sector of Operation Debtor’s business operation type. In financing statement registration, sector of
operation cannot be more than three (3) selections.
Subordinate Authorizer The user responsible for authorizing the submission of a subordination on a
financing statement in workflow mode. Authorization is not required for users
assigned with the authorizing role for registering financing statements.
Subordinate Officer The user responsible for creating and submitting subordination on a financing
statement in workflow mode.
Transaction Reference The system generated payment reference number.
Number
Transfer Authorizer The user responsible for authorizing the submission of transfer on a financing
statement in workflow mode. Authorization is not required for users assigned
with the authorizing role for registering financing statements.
Transfer Officer The user responsible for creating and submitting transfer on a financing
statement in workflow mode.
Update Authorizer The user responsible for authorizing the submission of an update on a financing
statement in workflow mode. Authorization is not required for users assigned
with the authorizing role for registering financing statements.
Update Officer The user responsible for creating and submitting an update on a financing
statement in workflow mode.
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1.0 GENERAL INFORMATION
ABOUT COLLATERAL REGISTRY OF NIGERIA
The National Collateral Registry of Nigeria is an initiative of the Central Bank of Nigeria (with
support from IFC) to improve access to finance particularly for Micro, Small and Medium
Enterprises (MSMEs). The Collateral Registry, which operationalizes Part III of the Central Bank of
Nigeria’s Regulations on Registration of Security Interests in Movable Property by Banks and other
Financial Institutions (Regulations No, 1, 2015) is a web-based system that allows lenders to
determine any prior security interests, as well as to register their security interests over movable
assets provided as collateral.
The Collateral Registry facilitates the use of movable / personal assets as collateral that remain in
possession or control of the borrowers and thereby improves access to secured finance because:
Movable assets/personal property often account for most of the capital stock of private
firms and comprise an especially large share MSMEs;
Movable assets are the main type of collateral that MSMEs, especially those in
developing countries, can encumber to obtain financing; and
Given the opportunities in agri-business among others, the Collateral Registry regime
allows Nigerian farmers and entrepreneurs to unlock significant sources of capital with
assets that would otherwise not be looked at by lenders as potential collateral.
Note: This User Manual provides the information necessary to effectively use the automated
Collateral Registry System.
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financial institutions credit account with the Central Bank of Nigeria (CBN) and a statement is
generated for the client at the end of each month, detailing all completed chargeable transactions.
To pay for a transaction in the collateral registry as Public client, first determine the total amount
of fees for the service you want from the Fees option under the Help menu. Then pay that amount
through either Interswitch WebPay. On the Home Page click the Search Menu tab to redirect you
to the main Search Page where you will find the Payment menu.
For WebPay click on the Make an Online Payment and follow the steps to continue. If the payment
transaction is successful, the client will be issued with a payment security code which will be used
to search for Registrations.
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2.0 SYSTEM OVERVIEW
INTRODUCTION
The Collateral Registry is a comprehensive centralized web-based software designed and developed
to international standards to store information on the parties to a security interest and the collateral(s)
used to secure the loan and making available to the public financing statements relating to those
security interests. The Collateral Registry System is therefore an electronic movable collateral
registry used to collect financing statements information.
The collateral registry software automatically assigns a sequential registration number, date and time
of registration to each registration record. Information retrieved in a search can establish priority
among competing security interests according to the time of registration.
The web-based nature of the system offers remote access from the comfort of your location even
beyond normal business hours without visiting the registry office. It reduces and frees officials
of the registry operations from paper burdens, frustrating manual reviews, searches and storage costs.
TECHNICAL FEATURES
Tools used in developing the system includes: Microsoft Visual Studio 2012, ASP.NET MVC and
SQL Server 2012
OPERATING SYSTEM
The application can run on a number of operating systems especially Windows 8 and above/
Windows7/Vista/XP, Mac and Linux.
WEB BROWSER
The application requires connection to the Internet using any compatible web browser namely
Microsoft Internet Explorer 8.0 or higher, Microsoft Edge, Mozilla Firefox 3.5 or higher, Google
Chrome 10.0 or higher and Safari 4.0 or higher. For optimal functionality of the software, your
system browser must be configured according to the default settings with Java Script enabled.
Optimal functionality of the system cannot be guaranteed when a lower version of recommended
browsers are used.
INTERNET SPEED
With a minimum of 128Mbps internet connectivity speed, the application can be accessed by entering
the URL address https://www.ncr.gov.ng in your web browser. A lower internet speed may affect
the performance of the application.
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3.0 GETTING STARTED
HOME PAGE
You can access the Collateral Registry System of Nigeria by entering the site address
https://www.ncr.gov.ng/. This will open the Collateral Registry page shown below.
The Home page of the Collateral Registry System shows five (5) main Menu Tabs at the top and
two (2) Access Control Buttons at the right hand corner of the page.
Below are the details of the various sections on the Home page:
1. Login: Click this to Login to the system at the Login Page if you are a Registered Client
of the system.
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2. Create New Account: Click this to Create New Account in the system as a first time
client.
1. Click on the Home menu tab from any page on the website to return to the Home page.
2. Clicking the Search menu tab opens the search page where you may search for registrations
by debtor identification or business registration number or collateral serial number.
3. Clicking the Resources menu tab provides the following drop down options:
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Click the NCRN User Manual to download a PDF Format of the User Training
Manual.
4. Click the Contact Us Menu Tab to find the Registry contact information.
Clicking on the Make A Request tab provides a page to contact the Registry by email.
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5. The Help menu tab has the following drop-down lists:
Click the About the Registry to find a brief information on the Collateral Registry.
Click Frequently Asked Questions to find answers to some of your questions on the
Collateral Registry.
Click on How to for quick tips on how to navigate and perform certain transactions in
the system.
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4.0 USING THE SYSTEM
HOW TO CREATE A CLIENT ACCOUNT
Banks and other financial institutions licensed by the Central Bank of Nigeria under the Banks and
Other Financial Institutions Act are required to create a client account in the National Collateral
Registry System to be able to register a financing statement. A prospective client needs to provide
its CBN bank or financial institution code to be authenticated in the system before the account can
be created. Creating a Client Account requires approval from the Registrar of the Collateral Registry.
To create an account:
3. Enter your Bank Verification Code in the box as shown above and then click on the Submit
button.
4. After authentication and approval of the code, the Secured Creditor Profile page opens.
5. Enter your institution profile in the Secured Creditor Profile form taking note of the
mandatory fields.
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6. Next, move to the Administrator Account Profile Section.
8. Complete the Administrator Profile and then move to the Security Check section.
9. Click on the Refresh link for a new text image if the current text image is not clearly visible.
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10. Type the same security check image on the Security Check page in the box as shown above
and then click Submit to complete.
11. Clicking on the Submit button displays the Review Secured Creditor Registration
Information page.
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12. Verify to confirm the information on the page is accurate.
14. After successful submission the confirmation message shown below appears.
15. When your account request is approved by the Registry, the link to activate the account will be
sent to the email address you provided under the Administrator Account Profile form.
2. On the Dashboard, task for handling the authorization on client account setup request will be
listed as “Authorization of Client Account – Waiting for Authorization” under Latest
Pending Tasks.
3. Click on the link “Authorization of Client Account” to open the Task Handle page.
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4. The Task Handle page displays the Client profile information with the authorization section
below it.
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6. At the Outcome section, choose your option. This is mandatory and cannot be left blank.
10. Clicking the submit button display confirmation dialog message requesting you to confirm the
action.
12. If the submission is successful a message dialog window similar to that shown below is
displayed to complete.
2. Click on the Payment menu tab. Select “Submit Postpaid Request” from the drop down list.
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3. The Prepaid Postpaid Account Setup page opens.
4. Select the payment integration type by clicking on the dropdown arrow indicated by the arrow.
Selecting “Account with Central Bank of Nigeria” implies that your institution has a direct
account with the CBN. Selecting “Account with a Representative Bank” implies that your
institution has a clearing account with another CBN approved bank.
5. Select the option Account with Central Bank of Nigeria and enter the bank account number
in the Bank Account No. box as shown above.
6. If the option Account with a Representative Bank, indicate the representative bank by select
it form the dropdown and enter the bank account number in the Bank Account No. box.
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7. Then click on the Submit button to conclude.
2. On the dashboard, task for the Postpaid account authorization request “Authorization of
Postpaid Account – Waiting for Acceptance” shall be listed under Latest Pending.
3. Click on the link “Authorization of Postpaid Account” as shown above to open the Task
Handle page.
4. On the Task Handle page, the client profile and bank account details will be displayed.
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5. Move to the Authorization section.
6. At the Outcome section, choose your option. This is mandatory and cannot be left blank.
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8. You may provide comment in the “Add Comment” box.
12. If the submission is successful approval message similar to that shown below is displayed.
2. Click on Administration and Select Units from the drop down list.
6. Provide the Name, Email and a brief Description on the Unit. Then Click on the Save button
to create a New Unit.
7. You may also click on the button to return to the previous page.
8. A confirmation message similar to that shown below appears to indicate the success of the
creation of the new unit.
2. Click on the Administration menu tab and Select My Users from the drop down list.
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3. This takes you to the Users page.
4. Click on the Create New User button to open the User page.
6. Enter the First Name, Middle Name Surname, Gender, Email, Institution Unit, Login id and
Password taking note of the mandatory fields.
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7. Move to the User Notification section and select an option. Indicate whether to notify User
with the password information or not by selecting the preferred option.
8. Select the option Notify User with password to send password notice to user.
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9. Click on the Save button to create new user.
11. Clicking the Save button creates a new user and displays a confirmation message.
12. Below the confirmation message is displayed the new user profile information.
2. Click on the Administration menu tab and Select My Users from the drop down list.
5. This opens the Edit User page. Click on the Modify roles button
6. Click in the box of the role to assign role to user as shown in below.
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7. Click on the Save Roles button when completed to Save role(s).
8. You may also Click on the Back to List button to return to previous page.
9. After Saving Roles a confirmation message similar to that shown below appears to indicate the
success of the User edit.
10. Below the page is displayed a list of all User assigned roles.
CLIENT LOGIN
Once your user account is created in the registry, your administrator may notify you of your Login
id and password credentials which you will use to login to the system.
5. When completed, click the Login button or simply press on the Enter key of
your keyboard to login to the registry.
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3
PASSWORD RESET
The login page provides you with the facility to reset your password.
3. The Password Reset page loads with a request for your email address.
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4. Enter your email address in the email box as shown above.
5. Then, on the Security Check section, enter the same text on the security image in the box.
NOTE: Text is not case sensitive.
6. When completed, click on the Submit button to send request for password
reset.
7. After submitting password reset request the Password Reset Confirmation page shown below
opens confirming that the link to reset password has been sent to the email address you
provided.
8. Visit the inbox of the email address you provided during password reset.
9. Open the system generated email received from the Registry as shown below.
10. Click on the Reset Password link to take you to the Change Password page to reset your
password.
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To Change Password:
7. Move to the New Password box and enter your new password.
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10. Enter the text in the security image into the box.
12. After clicking Submit, wait for the confirmation message dialog shown below to confirm the
success of password reset.
The application will take you to the Change Password page when you click on the reset
password link or login the first time.
1. On the Change Password page, enter a new password in the New Password box.
2. Enter the same password in the Confirm New Password box as shown below.
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NOTE: Text is not case sensitive.
6. After clicking Submit, wait for the confirmation message dialog shown below to confirm the
success of password reset.
7. You may now Login to the application with your new password.
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5.0 THE MENU
THE MAIN MENU AND NAVIGATIONAL TABS
When you successfully login into the system, you are welcomed with the dashboard. You will also
find five (5) Navigational Tabs and eight (8) Menu Tabs which appears consistently throughout
the application pages. Depending on your assigned role as a User, certain menus and submenus may
not be accessible to you. The Menu tabs appear below the Navigational tabs.
1. The Home tab: Clicking the Home tab from any page in the main application takes the
user to the Home Page.
2. The Dashboard tab: When you log into the application the first menu that welcomes you
is the Dashboard. On the dashboard the User is presented with notices and analytic
information on pending tasks, emails, financing statements registrations and searches
generated; so that he/she is able to handle pending issues and tasks promptly when
notifications are received. The user is also notified with recent login activities and alerts.
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3. The My Profile (Username) tab: Clicking the My Profile (Username) tab from the
main application opens the User profile where you may Edit your Profile or Change your
Password from there.
4. The Audit Trail tab: Depending on the accessibility privileges assigned to that client
user, clicking the Audit Trail tab opens the user’s audit trail page.
5. The Log Out tab: Clicking the Log Out tab logs the user out of the system.
6. The Help tab: Clicking the Help tab opens the Help engine of the User Manual.
1. The My Tasks menu with one (1) sub-menu for handling pending tasks.
2. The Search menu comes with two (2) sub-menus for handling Search.
3. The Financing Statement menu has three (3) sub-menus for handling financing statement
registrations.
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4. The Payments menu tab depending on the client type makes available to the Client User
four (4) sub-menus for handling payments.
5. Clicking the Reports menu tab opens the Reports Index page where you may generate
your standard and adhoc management or financial reports.
6. The Administration menu tab contains six (6) sub-menus for handling administrative
related functions. Depending on the client type and user role in the system, some of the
listed submenus may not be accessible to you.
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7. The Configuration menu tab has three (3) sub-menus related to configurations. Depending
on the client type certain sub-menus will not be accessible to you.
8. The Notification menu has two (2) sub-menus for handling system generated messages.
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2. On the Dashboard page, Click on the Financing Statement menu tab as shown below.
3. Select Create New Financing Statement from the drop down list.
5. Fill the mandatory boxes as required on the Loan Information form shown below.
6. Select the loan type from the Loan Type drop down list.
8. Provide value for the maximum amount in the Maximum Amount box.
9. Enter the loan due date in the Loan Due Date box.
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10. Enter the expiry date in the Date of Registration Expiry box.
12. Click on the Secured Creditor tab. The Secured Creditor profile details captured at the time
of account setup is displayed.
13. If there are two or more secured creditors you may continue to add secured creditors by
clicking the appropriate button below the page depending on what you want.
a. Click on the Add Secured Creditor button to open the Add New Secured Creditor page.
On this page, the user is presented with the profiles of existing secured creditors
registered in the system without having to type all over again.
14. Click on the Debtor tab and select the appropriate debtor type button to add Debtor details.
a. Click on the Add New Individual Debtor button if the debtor is an individual
b. Click on the Add New Institutional Debtor button if the debtor is a company, cooperative,
or registered business.
15. If there are two or more debtors, continue to add new debtor by clicking on the required
button and then enter all mandatory information in their boxes.
16. Next, click on the Collateral tab to add the Collateral details.
17. Select Collateral Type from the drop down list and enter the Serial Number (for Planes,
Boats, Motor Vehicles, Plant and Machinery collaterals) and Description of the collateral in
the Serial No. and Description boxes respectively.
18. To add more collateral, click on the Add New Collateral button.
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19. You may add a file attachment (in Word or PDF formats) to the financing statement by
clicking on the Add File button. Remember not to exceed the file size limit
(3MB).
20. Make sure all mandatory information has been provided on the Financing Statement and then
move to the Acknowledgement section.
21. Click inside the Acknowledgement box that reads: “I have obtained the debtor's
authorization to enter this information in the Collateral Registry System” as shown below.
22. At the Workflow Details section you are presented with the name(s) of the assigned
authorizer(s) whose authorization is required for the transaction to be registered in the system.
Client Authorizer
Comments
23. Add your comments on the registration as the Authorizer in the Comments box as indicated by
the arrow.
25. A preview of the Financing Statement information is displayed on the screen for final review.
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26. Click on the button to confirm
submission or the Cancel button to return to previous registration page.
27. If you are a user assigned with both the Client Officer and Client Authorizer roles then instead
of the Submit Financing Statement for Authorization button, you will see the Register
Financing Statement button. Click on it to confirm
submission.
28. Upon successful submission of the financing statement for registration, a confirmation message
with a summary view of the financing statement as shown below is displayed for your preview.
1. From the Create New Financing Statement page, Click on the Secured Creditor tab under
the Registration Information column.
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2. Select Add Secured Creditor button to open the Add New
Secured Creditor page shown below.
3. Select new secured creditor from the registered Secured Creditor drop down list.
4. Pick the secured creditor by entering the name in the box provided.
5. Select secured creditor of interest and then click on the Add Client button as shown below.
6. Clicking on the Add Client button adds the selected secured creditor details to the financing
statement registration form.
1. From the Create New Financing Statement page, Click on the Debtor tab under the
Registration Information column and select the appropriate debtor type.
2. Select Add New Individual Debtor if the debtor is an individual or Add New Institutional
Debtor if the debtor is a company, cooperative or registered business.
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3. Click on the Add New Institutional Debtor button to open the Debtor page shown below.
5. Enter the Registration Number of debtor in the Business Registration No. box making sure to
select the business registration number prefix from the dropdown list.
6. Select debtor type from the drop down list of the Debtor Type box.
8. In the country box the default Country Nigeria is selected this cannot be changed.
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9. Select debtor state from the State dropdown list.
10. Selecting a state displays its local government area. Select the LGA from the drop down list
and enter the city or town in the City/Town box.
12. Select debtor owner composition from the Owner Composition drop down list. Indicate
debtor’s relationship with the Secured Creditor by clicking in any of the options at the
Relationship with Debtor section as shown above.
13. Next, move to the Sector of Operation section and select debtor’s sector of operation by
clicking in the required box of the item to complete. Note: Sector of Operation selections
cannot be more than three (3).
1. From the Create New Financing Statement page, Click on the Add New Individual Debtor
button to open the Individual Debtor page shown
below.
2. Click on the drop down of the Title box to select the debtor’s title.
3. Provide the debtor’s name by entering debtor first name, middle name and surname in the
First Name, Middle Name and Surname boxes respectively.
4. Enter the debtor date of birth in the Date of Birth box. Click to select the gender type: Male
or Female.
5. Select debtor nationality from the drop down list of the Nationality box. The default is
Nigerian but may be changed if different.
8. In the country box the default Country Nigeria is selected this cannot be changed.
9. Select debtor state from the State drop down list and provide the local government area
information by selecting from the Local Government Area drop down list.
10. Enter debtor city and address in the City/Town and Address boxes respectively.
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11. Indicate debtor’s relationship with the Secured Creditor by clicking in any of the options at
the Relationship with Borrower section as shown above.
12. Next, move to the Sector of Operation section and select debtor’s sector of operation by
clicking in the required box of the item.
1. From the Create New Financing Statement page, click on the Collateral tab under the
Registration Information section to add the Collateral details.
2. Select Collateral Type from the drop down list by Clicking on the arrow.
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3. Next, Enter the Serial Number (for Planes, Boats, Motor Cycles, Motor Vehicles, Plant and
Machinery collaterals) in the Serial No. box. It is mandatory to enter the Serial Number for
such collaterals.
5. To add more collateral, click on the Add New Collateral button and follow the steps above.
2. The file dialog box opens for document selection. Locate file document to attach as shown
below. Select the file document and Click Open to attach.
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3. The file document is opened. Click on the Upload button to upload file attachment or Click
Remove to Cancel.
1. On the Create Financing Statement page, Click on the Save as Draft button
on top of the Loan Information section. This opens the Save dialog box for you to enter a
Name for the draft.
2. Enter a name and Click on the Save Draft button to Save draft as shown below or Click on
the Cancel button to terminate the process.
2. Click the Financing Statement Menu tab and select Saved Drafts from the drop down list as
shown below.
4. You may search for drafts by entering your Search Date as shown below.
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5. Click on the Submit Search button to submit search request.
6. After the page returns your Search, move to the List of Saved Drafts section.
7. At the Actions column, Click on the Open icon of that particular draft to load the
draft financing statement for Edit.
8. To use the draft to register a new financing statement follow the steps outlined in How to
Register a new Financing Statement to continue.
9. To delete the Saved Draft Click on the Close icon of that particular draft.
Note: Saved Draft items are automatically deleted from the system after a successfully
submission.
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HOW TO AUTHORIZE A FINANCING STATEMENT
Authorization is required if your Institution has been setup to use a workflow to handle the
registration, update, renewal, transfer, subordination and cancellation of a financing statement. To
be able to review and authorize tasks of such nature on a financing statement, you must be assigned
the Authorizer role for the specific task.
3. At the My Pending Task page search for a pending task by entering your search date.
6. Click on the Handle button below the Action heading of the financing statement of interest to
authorize as shown below.
7. This opens the Task Handle page where you may review the Loan Information, Secured
Creditor, Debtor and Collateral details. Click on the heading to expand or collapse the detail
and perform your task.
8. Scroll down to the Authorization window as shown below. Select Authorize to approve, Deny
to terminate or Resend to Submitter to return to the Financing Statement to the Client or FS
Officer for editing and resubmission.
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9. To authorize this Financing Statement registration, Select option 1 Authorize as shown below.
10. In the Add Comment box shown by the arrow, the authorizer may enter his/her comments for
the registration there.
12. A confirmation dialog message displays requesting you to confirm the submission. Click OK
to complete or Cancel to return to previous page.
13. Upon authorization and successful submission of the financing statement a confirmation
message such as that shown below is displayed informing you of the authorization success.
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HOW TO HANDLE PENDING TASKS
There are two options by which the user may view and handle pending tasks.
2. On the Dashboard a list of pending tasks that requires your attention will be log under Latest
Pending Tasks. Pending task for Registration shall read “Registration of Financing
Statement - Waiting for Authorization” as shown below.
4. This opens the Task Handle page where you may review the Loan Information, Secured
Creditor, Debtor and Collateral details.
2. Click the Task Menu tab and Select My Pending Tasks as shown below.
3. At the My Pending Task page you may search for a pending task by entering your search date
as shown below.
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4. Click on the Submit Search button to submit your request. This returns your search results.
Move to My Tasks section.
5. Under Actions, Click on the Handle button of the particular financing statement as shown
below.
6. This opens the Task Handle page shown below. Review the Loan Information, Secured
Creditor, Debtor, Collateral, Registration Activities and Attachment details by clicking on the
heading to expand the detail.
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7. Scroll down to the Authorization section below. You may either Authorize to approve,
Resend to Submitter or Deny to reject the authorization request.
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HOW TO EDIT A RESUBMITTED FINANCING STATEMENT
After the Client Authorizer has resubmitted the Financing Statement to the Client Officer for edit,
the resubmitted financing statement is log on the task page of the Client Officer.
2. On the Dashboard, task for Resubmitted registration shall read “Authorization of Financing
Statement Registration Resubmitted” and shall be listed under Latest Pending Task as shown
below.
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3. Click the highlighted text “Authorization of Financing Statement Registration” to open the
Task Handle page. The task handle page may also be opened using My Tasks Menu.
4. Scroll down to the Authorization window and click Edit Item as shown below.
5. This opens the Financing Statement for editing. Edit the fields you want to change making sure
that all mandatory boxes have been filled with the required data.
6. Click inside the Acknowledgement message box that reads: “I have obtained the debtor's
authorization to enter this information in the Collateral Registry” and then Click the
Resubmit Changes button to resubmit for authorization.
7. A preview of the Financing Statement information entered is shown on the screen for final
review. Click the Cancel button to go back to registration page or the Resubmit Changes
button to confirm submission and complete.
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6.0 AMENDING A FINANCING STATEMENT
There are three (3) main forms of amendments that can be performed on a registered financing
statement. These are:
Update
Assignment
Subordination
A user of a registered Secured Creditor can register an amendment if he/she has been assigned that
role.
To Update a Registration:
2. Select My Financing Statements from the dropdown to open the My Financing Statements
page.
3. When the My Financing Statements page loads, you may filter the page by entering start and
end date if the list is too long to locate your financing statement.
4. Search for Financing Statement by choosing the parameter from the dropdown list.
7. To view active Financing Statements, Move to the List of Financing Statements section.
8. From the Actions column, click on the Amend icon of the financing statement that
needs to be amended to display the amendment page.
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9. This loads the Select Financing Change Statement Type Page.
10. Select Update and click Continue to open the Amend Financing Statement page.
12. After making changes, ensure that all information on mandatory boxes has been provided.
13. Check the acknowledgement box that reads I have obtained the debtor's authorization to
enter this information in the Collateral Registry and click the Submit Update of financing
statement button to submit the update for
authorization.
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14. A preview of the updated Financing Statement is displayed on screen for final review. Click
the Cancel button return to the Update page or Click the Submit Update of Financing
Statement for Authorization button to confirm submission and complete amendment.
15. After successful submission, the confirmation message shown below loads to confirm the
amendment.
To Renew a Registration:
2. Select My Financing Statements from the dropdown to open the My Financing Statements
page.
3. When the My Financing Statements page opens, you may filter the page by entering start and
end date if the list is too long to locate your financing statement.
4. To view active Financing Statements, Move to the List of Financing Statements section.
5. From the Actions column, click on the Amend icon of the financing statement that
needs to be renewed.
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6. This opens the Select Amendment Type Page.
8. Enter the New Expiry Date in the Expiry Date box as shown below.
9. Check the acknowledgement box that reads I have obtained the debtor's authorization to
enter this information in the Collateral Registry and click the Submit Update of financing
statement button to submit the update for
authorization.
10. A preview of the updated Financing Statement is displayed on screen for final review. Click
the Cancel button return to the Update page or Click the Submit Update of Financing
Statement for Authorization button to confirm submission and complete amendment.
11. After successful submission, the confirmation message shown below loads to confirm the
amendment.
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HOW TO AUTHORIZE AN UPDATE/RENEWAL ON A FINANCING
STATEMENT
Authorization is required if your institution has been setup to use a workflow to handle update of
financing statement. To review or authorize Financing Statement updates, you should be a user
assigned with the Update Officer or Financing Change Statement Authorizer role.
2. On the Dashboard, under the Latest Pending Task the task for authorization of the amendment
will be listed as “Authorization of Financing Statement Update - Waiting for authorization”.
3. Click the highlighted text “Authorization of Financing Statement Update” to open the Task
Handle page. The task handle page may also be opened using My Tasks Menu.
4. The page opens with the Update Detail showing details of the changes to the financing
statement. You are presented with Old Information and New Information.
5. The Old Information and New Information show summary of the changes to the financing
statement before and after the amendment.
6. Below the update detail section is Before Update and After Update button. To view the details
of the financing statement information before the update, Click on the Before Update button.
And to see the details of the financing statement information after the update, click on the After
Update button.
10. Then click the Submit button to confirm action and wait for the confirmation
message shown below to pop up.
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HOW TO REGISTER TRANSFER ON A FINANCING STATEMENT
Transfer is the assignment of an entire registered Financing Statement from one client to another.
Upon the successful submission of the transfer, the financing statement is sent to the Transferee
Authorizer for authorization before the assignment is registered. After the successful registration of
the transfer, the financing statement is moved from the Transferor account to the Transferee account.
To register the Transfer of a financing statement, you must be assigned the Financing Change
Statement Officer or Transfer Officer role.
2. Click the Financing Statement menu and select My Financing Statements option from the
drop down to go to the My Financing Statement page.
3. From the Actions column, Click on the Amend Financing Statement icon of the
financing statement that needs to be amended to display the “Select Amendment type” page.
4. Select Transfer to other secured creditor and Click on the Continue button to open the
Select Client page.
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5. On the Select Client page, Search for client by entering the Client Code or Client Name on the
Financing Statement and then click the Find Client button.
6. After clicking Find Client, the Client Summary View of the Transfer is displayed. Confirm
Transferee details, and then click on the button below
the page.
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7. Clicking the Continue with this Client button loads the Transfer page with full details of the
Secured Creditor Client to transfer financing statement to. Click on the Submit Transfer
Request button to transfer the entire financing statement.
8. Clicking the Submit Transfer Request loads the confirmation dialog page. Click OK to
continue or Cancel to end and return to previous page.
9. Click OK to complete.
10. A confirmation message as shown below is displayed to show the success of the transfer
registration.
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HOW TO AUTHORIZE A TRANSFER ON A FINANCING
STATEMENT
If your institution has been setup to use workflow to handle transfer of financing statements, then in
order to register the Transfer, authorization will be required. To authorize the Transfer you must be
assigned the Financing Change Statement Authorizer or Transfer Authorizer role.
2. On the Dashboard you will be presented with the list of “Last Pending Tasks”. Task for
Transfer shall read “Authorization of Financing Statement Transfer - Waiting for
authorization” as shown below.
3. Click the highlighted text “Transfer of Financing Statement Registration” to open the Task
Handle page. The task handle page may also be opened using My Tasks Menu.
4. The Task Handle page opens with the Transfer Detail showing both the Transferor and the
Transferee details.
5. Below the Transfer details are found the financing statement information section and the
authorization section.
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6. Scroll down the page to the Authorization section.
10. Then click the Submit button to confirm action and wait for the confirmation
message shown below to pop up.
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To Subordinate a Financing Statement:
2. Click the Financing Statement menu and select My Financing Statements option from the
drop down to go to the My Financing Statement page.
3. From the Actions column, Click on the Amend icon of the financing statement that
needs to be Subordinated.
4. This display the “Select Amendment Type” page. Select Subordinate to other secured
creditor and Click on the Continue button to open the Select Client page.
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5. On the Select Client page, Search for client by entering the Client Code or Client Name on the
Financing Statement and then click the Find Client button.
6. After clicking Find Client, the Client Summary View of the Beneficiary Subordination
Client is displayed.
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7. Confirm Subordination to the Client and then click on the Continue with this Client button
w on the page.
8. Clicking the Continue with this Client button loads the Subordination page with full details
of the Beneficiary Subordination Secured Creditor Client. Click on the Submit Subordination
button to Subordinate priority on the collateral to the new client.
9. Clicking the Submit Subordination loads the confirmation dialog page. Click OK to continue
or Cancel to end and return to previous page.
11. A confirmation message as shown below is displayed to show the success of the subordination
registration.
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HOW TO AUTHORIZE SUBORDINATION OF A FINANCING
STATEMENT
If your Institution has been setup to use workflow to handle subordinate financing statements, then
in order to register Subordination, authorization will be required. To authorize subordination you
must be assigned the Financing Change Statement Authorizer or Subordination Authorizer role.
2. On the Dashboard you will be presented with list of “Last Pending Task”. For example,
Message for Assignment shall read “Authorization of Financing Statement Subordination -
Waiting for authorization” as shown below.
3. Click the highlighted text “Authorization of Financing Statement Subordination” to open the
Task Handle page. The task handle page may also be opened using My Tasks Menu.
4. The Task Handle page opens with the Beneficiary Subordination Secured Creditor Detail
showing.
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5. Below the Subordination detail are found the financing statement information and the
authorization section.
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8. Enter your comments in the Comments box as shown by the arrow.
11. After successful submission the confirmation message shown below is displayed.
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HOW TO CANCEL A FINANCING STATEMENT
Cancellation involves the release of the entire financing statement from the registry system. In order
to perform a cancellation, you must be assigned the Cancellation Officer, Client Officer or Financing
Change Statement Officer Role.
2. Click the Financing Statement menu and select My Financing Statements option from the
drop down list.
3. Identify the financing statement you need to Cancel under the “List of Financing
Statement” section and then Click the Cancel Financing Statement icon under
the Actions column.
6. When the confirmation dialog page opens. Click OK to continue or Cancel to return to the
previous page.
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7. Click OK to complete.
8. The discharge confirmation message shown below appears to confirm the submission.
2. You will be presented with list of “Last Pending Task” on the dashboard as shown below
with date. For example, task for cancellation shall read “Authorization of Financing
Statement Cancellation - Waiting for authorization”.
3. Click the highlighted text “Authorization of Financing Statement Cancellation” to open the
Task Handle page. The task handle page may also be opened using My Tasks Menu.
4. The Task Handle page displays the financing statement information with the authorization
section below it.
6. At the Outcome section, select Authorize to approve the cancellation or Deny to reject.
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7. Select Authorize to authorize.
10. On the displayed confirmation dialog message, click OK to confirm the action.
11. After successful confirmation, the confirmation message below is displayed to complete the
action.
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7.0 PAYMENTS
Fees are charged on transactions such as search and registration of financing statements. Payment
for transactions can be through online WebPay or DirectPay with CBN’s designated PayPoint
merchant - Interswitch. For clients with Postpaid Account status, transactions may be performed
and settled later through a settlement payment with the Central Bank of Nigeria.
NB: A Public User needs NO account in the Collateral Registry System to make
an online payment.
3. Select the Make an Online Payment option from the drop down to display the Online
Payment page shown below.
4. At the Personal Information Section, enter your Name, Email Address, Phone Number and
BVN identification details in the Name, Email Address, Phone Number and BVN boxes
respectively as shown below.
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5. Move to the Payment Information Section and choose whether to make New Payment or
Top Up an existing payment.
6. Select to enter the Number of Searches to generate or Amount paying. Either way, the other
is automatically calculated for the user.
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7. Move to the security section.
8. Enter the text on the security image in the box as shown above.
9. Then, Click on the Continue button to open the Verify Payment Details page.
10. Displayed on the Verify Payment Details Page is the Transaction Reference Number.
11. Review the payment details and ensure that the transaction reference number for that
particular payment including both the personal and payment details are accurate and then
Click on the button to continue as shown below.
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12. You may also click on the Back button to return to the previous page if the
details are inaccurate.
13. Clicking the Pay button displays the Transaction Reference Number Alert page.
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14. Click OK to continue.
15. The WebPay Merchant page opens with the Amount payable displayed.
16. Select the Card Type and provide the details making sure all mandatory fields are correctly
entered.
18. Provide the Expiry Date in Month and Year and enter the CVV Number.
19. Enter your Card PIN and Click on the button when done.
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21. After successful processing of payment, the payment transaction confirmation page pops up
with the Transaction Reference Number and PIN Code displayed.
22. Click on the Download Payment Receipt link to print the Receipt and use it for payment.
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2. Click on the “Payment” menu tab.
3. Select the Query an Online Payment Transaction” option from the drop down to open the
Transaction Detail Search page.
4. Enter your Transaction Reference Number in the box and Click on the button.
5. After a successful payment transaction search the confirmation page is displayed notifying
you that the security code generated is sent to the email address you provided during the
payment capture.
6. You may also click on the link Download Payment Receipt to download a copy of the
receipt generated.
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POSTPAID TRANSACTION SETTLEMENTS
Client’s settlement of outstanding Postpaid transactions in the system is achieved through the:
2. Click the Payment menu and select Generate Batch from the drop down list.
4. Indicate the Transaction Selection type by selecting any of the two options.
5. To generate batch on all outstanding Postpaid transactions select the option All Outstanding
Postpaid Transactions.
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6. Selecting the first option All Outstanding Postpaid Transactions displays three (3) options
from which to generate the batch by transaction batch status.
7. Click on the option Unbatched Transactions to display all outstanding Postpaid transactions
yet to be batched
8. Click on the option Batched Transactions to display all outstanding batched Postpaid
transactions yet to be settled or paid.
9. Click on the option All Transactions to display all outstanding Postpaid transactions
irrespective of their batch status.
10. To generate batch on outstanding Postpaid transactions per period, select the option
Outstanding Postpaid Transaction for a period.
11. Enter the date period by indicating the date range as shown below.
13. The Batch Preview page showing all outstanding bills grouped by client and transaction type
is displayed.
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14. Preview transactions and then click on the Generate Batch button to
generate the batch or the Back to the Generate Batch page button to return to the previous
page.
15. Clicking the Generate Batch button displays the confirmation dialog box requesting you to
confirm action.
2. Click on the Payment menu and select View My Postpaid Batches or View Client Postpaid
Batches from the dropdown list depending on your assigned role.
4. At the Postpaid Transactions Batches page, you may search for batches by entering your search
date by period or by month year.
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6. Move to the List of Account Transaction Batches section.
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7. The Action section is displayed buttons for viewing, reconciling, deleting or downloading batch
as shown by the arrow.
10. Click on the View button of the batch of interest as shown above to view details of a specific
batch.
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HOW TO DOWNLOAD A BATCH
To download a batch:
2. Click on the Payment menu and select View My Postpaid Batch or View Client Postpaid
Batch from the dropdown list depending on your assigned role.
4. Search for batches by entering your search date and then Click on Submit button.
6. Click on the Download Report button of the batch of interest as shown above to download a
PDF format of the report which may be saved to disk.
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HOW TO DELETE A BATCH
To delete a batch:
2. Click on the Payment menu and select View My Postpaid Batch or View Client Postpaid
Batch from the dropdown list depending on your assigned role.
4. Search for batches by entering your search date and then Click on Submit button.
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5. Move to the List of Account Transaction Batches section.
6. Click on the Delete button of the batch of interest as shown above to delete.
2. Click on the Payment menu and select View Client Postpaid Batch from the dropdown list.
4. Search for batches by entering your search date and then Click on Submit button.
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5. Move to the List of Account Transaction Batches section.
6. Click on the Reconcile button of the batch of interest as shown above to reconcile.
9. Enter your comments in the Reconcile Comment box and click on the Reconcile Batch.
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10. Wait for success message to be displayed.
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5. You may filter the list by payment date and the click on the Submit Search button.
8. Select the directory you wish to Save the file to and give the file a Name.
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HOW TO VIEW CLIENT CREDIT ACTIVITIES:
To view client credit activities:
2. Click on the Payments menu tab and Select Credit Activities from the drop down list.
3. The Credit Activities page opens displaying the summary balance on the client’s Postpaid
account.
4. Below the summary balance are found the detail transaction charges debited on the account
and the total credit balance.
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8.0 PERFORMING A SEARCH
You may search for a financing statement or notices that identify a particular security interest in
the Collateral Registry as a registered user or public user. You may search registrations officially
by the debtor Identification Number using the debtor’s Business Registration Number if an
institution or Biometric Verification Number if individual. You may also search registrations by
Collateral Serial Number in the case of serial numbered collaterals.
2. Click the Search Menu and select Search from the dropdown list.
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4. Indicate your Search criteria by selecting your option.
5. To search by company, cooperative or registered business, click in the option that says
Company, Cooperative or Registered Business Name and enter the Business Registration
Number in the Business Registration Number box that is displayed by selecting a prefix.
6. To search by individual debtor, click in the option that says Individual Debtor and enter the
Biometric Verification Number in the Unique ID (BVN) box as shown above.
8. After submitting search request a pop up message appears notifying you of the number of
search items found per your search parameter.
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9. Click OK to open the Search Results page.
10. To view and generate the search report, Click inside the box of the financing statement that
meets your search request as shown above.
12. This opens the Search Report page with the summary of the search parameters displayed and
the details of financing statement below it.
13. Click inside the box that says Send generated search report to my inbox and then click on the
Generate Search Report button as shown below.
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14. Click on the Generate Search Report button to download the Search Certificate.
16. Select the directory you wish to Save the file to and give the file a Name.
To Search by Collateral:
2. Click the Search Menu and select Search from the dropdown list.
5. Click in the option that says Collateral Serial No. and enter the Collateral Serial Number in
the Collateral Serial No. box as shown above.
7. After submitting search request a pop up message appears notifying you of the number of
search items found per your search parameter.
11. This opens the Search Report page with the summary of the search parameters displayed and
the details of financing statement below it.
12. Click inside the box that says Send generated search report to my inbox and then click on the
Generate Search Report button as shown below.
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13. Click on the Generate Search Report button to download the Search Certificate.
15. Select the directory you wish to Save the file to and give the file a Name.
2. Click the Search Menu and select Search from the dropdown list.
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6
5. To search by individual debtor, click in the option that says Individual Debtor and enter the
Biometric Verification Number in the Unique ID (BVN) box.
6. To search by company, cooperative or registered business, click in the option that says
Company, Cooperative or Registered Business Name and enter the Business Registration
Number in the Business Registration Number box that is displayed by selecting a prefix as
shown above.
7. To search by collateral, select the third option that says Collateral Serial No. and enter the
serial number of the collateral in the Collateral Serial No. box.
9. The Payment Verification page is displayed requesting you to enter your PIN Code.
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10. Enter the Security Code on your payment receipt in the Payment Verification box and click on
the Submit Search Results button.
12. Enter your Biometric Verification Number (BVN) in the BVN box as shown above and then
click on the Submit Search Results button.
13. After submitting search request a pop up message appears notifying you of the number of
search items found per your search parameter.
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15. To view and generate the search report, Click inside the box of the financing statement that
meets your search request as shown above.
17. This opens the Search Report page with the summary of the search parameters displayed and
the details of financing statement below it.
18. Click inside the box that says Send generated search report to my inbox and then click on the
Generate Search Report button as shown below.
19. Click on the Generate Search Report button to download the Search Certificate.
21. Select the directory you wish to Save the file to and give the file a Name.
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HOW TO VIEW YOUR PREVIOUS SEARCHES
When you generate a search, a copy of the search is stored in the clients search repository for future
use.
2. Click the Search Menu and select My Searches from the dropdown list.
3. This opens My Searches page where you may search for previous searches my date.
4. Enter the Search dates and then click on the Submit Search button.
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5. Below this would be a list of previous searches.
6. To download the search certificate, click on the Certified Report button as shown by the
arrow.
7. Click on the Search Report link to open the Search Report details.
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8. Above the Search Results detail is displayed a notice on the date the search was conducted.
9. Click on the Download Search Report button or the Download link as shown above
to generate the Search Certificate and Save the report to disk.
11. Select the directory you wish to Save the file to and give the file a Name.
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9.0 ADMINISTRATION
This section describes how an administrator performs administrative duties in the system. There are
two types of administrators in this system: The Client Administrator and the Registry Administrator.
2. Click on the Administration menu tab and Select Client Profile from the drop down list.
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4. Click the Edit Client Profile button to open the Client Profile page
for editing.
Click on the Submit button at the bottom of the page to update client profile
and complete.
5. After successful updating client profile, a confirmation message similar to that below is
displayed.
To Deactivate A Client:
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4. This opens the Client page. Search for client by entering your search date to filter page. Search
by date range or month year.
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7. Click the Deactivate button to deactivate client.
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4. This opens the Client page. Search for client by entering your search date to filter page. Search
by date range or month year and click on the Submit Search button to filter page.
To Delete a Client:
5. Search for client by entering your search date to filter page. Search by date range or month year
and click on the Submit Search button to filter page.
AUDIT TRAILS
To view client audit trails:
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4. The Audit Trail page opens. All user and client activities are audited here.
MANAGING USERS
HOW TO EDIT USER PROFILES
Apart from the User’s Login id all other user profiles can be edited.
2. Click on the Administration menu tab and Select My Users from the drop down list.
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3. This takes you to the Users page.
4. Under the List of Users Click the Edit button to open the user page.
7. You may also change your user password by clicking on the My Profile tab to open the
To Deactivate A User:
2. Click on the Administration menu tab and Select My Users from the drop down list.
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5. A pop opens asking you to confirm User Deactivation.
8. Click OK to complete.
To Activate A User:
2. Click on the Administration menu tab and Select My Users from the drop down list.
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8. Click OK to complete.
2. Click on the Administration menu tab and Select My Users from the drop down list.
8. Click OK to complete.
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10.0 CONFIGURATION SETTINGS
This system provides you with options to configure the application. Most of the menu tabs in this
section are only accessible to Registry users.
2. Click on the Configuration menu tab and Select Payment Configuration from the drop down
list as shown below.
3. This opens the Payment Configuration page with all the fees values disabled.
4. Click on the Edit Fees button to enable fields for Fees setup.
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6. Next, click Save Fee Configuration button to complete.
7. After successful fees configuration setup the confirmation message below is displayed.
2. Click on the Configuration menu tab and Select Upload Bank Codes from the dropdown list.
5. Click the Open button of your file dialogue box to open file.
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HOW TO CONFIGURE WORKFLOW
To Configure the Workflow:
5. Under the Status column, click inside the transaction box of the item to assign the workflow
as shown below.
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11.0 NOTIFICATIONS
All notifications to clients and users are listed here
2. Click on the Notification menu tab and Select Email Messages from the dropdown list.
3. This opens the Email Messaging page. Move to the Actions section and Click on View Mail
as shown below.
4. This opens the email content for reading. For example, an email sent to a user on new account
created is shown below.
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5. Click Back to Emails to return to previous page.
2. Click on the Notification menu tab and Select Global Messages from the dropdown list.
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Email Recipients
are checked
9. To add recipients with assigned roles, click on the Add Roles button as
shown above.
12. After successful deletion the message below is displayed to confirm completion.
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