Payments User Manual
Payments User Manual
Payments User Manual
Banking
Payments User Manual
Release 11.7.0.0.0
May 2017
Payments User Manual
May 2017
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Table of Contents
1.1. PM057- Payment File Upload Inquiry* ............................................................................ 4
1.2. PM025 - RTGS-NEFT-Payment Inquiry .......................................................................... 7
1.3. PM037 - RTGS-NEFT-Beneficiary Master Maintenance............................................... 19
1.4. 2055 - RTGS Outgoing Payment Initiation - Customer ................................................. 22
1.5. 2056 - RTGS - Bank Payment ....................................................................................... 36
1.6. 2057 - NEFT - Outgoing Payment Initiation .................................................................. 49
1.7. PMM02 - Payments Mandate Maintenance .................................................................. 57
1.8. PMM03 - NACH Account Inclusion /Exclusion Maintenance ........................................ 62
1.9. PM033 - RTGS-Outgoing Pymt Auth Screen ................................................................ 66
1.10. PM034 - RTGS-Outgoing Pymt Release Screen ...................................................... 78
1.11. PM035 - RTGS - Incoming Pymt Auth Screen .......................................................... 89
1.12. PM036 - RTGS - Incoming Payment For Semi Authorized ..................................... 100
1.13. PM043 - NEFT-Outgoing Pymt Auth Screen ........................................................... 111
1.14. PM044 - NEFT-Outgoing Pymt Release Screen ..................................................... 122
1.15. PM045 - NEFT - Incoming Pymt Auth Screen ......................................................... 131
1.16. PM046- NEFT - Incoming Payment For Semi Authorized ....................................... 141
1.17. PM049- SDMC Final Auth Screen ........................................................................... 151
1.18. PM050- Payments NEFT N04 Message Maintenance ............................................ 153
1.19. PM060- Mobile Money Identifier Maintenance* ....................................................... 158
1.20. PM061- MPIN Maintenance* ................................................................................... 161
1.21. PM062- IMPS Payment Transaction Inquiry* .......................................................... 164
1.1. PM057- Payment File Upload Inquiry*
This option is used for inquiring the File upload status details by the Sponsor Bank.Based on the
provided filter criteria, system will display the files Uploaded between the set dates for the
Provider Unique ID based on the File status selected in the ascending order of Uploaded Date. If
the file status is ‘rejected’ all the fields after return file name will be displayed blank(as the file is
returned back to Payment File provider)
Definition Prerequisites
PM055 - Payment File Settlement Parameter
PM056 - Payment File Provider Details
Modes Available
Add, Modify, Delete, Cancel,Amend,Authorize. For more information on the procedures of every
mode, refer to Standard Maintenance Procedures.
Definition Prerequisites
2030 - Outgoing Payment Initiation (CASA)
Modes Available
Not Available
RTGS-NEFT-Payment Inquiry
Field Description
4. Click the Inquire button. The system displays a list of transactions matching the entered
criteria in the Transactions tab.
Field Description
Payment [Display]
Transaction Code
This column displays the transaction reference number generated
by the system.
Date [Display]
This column displays the date on which the transaction was
performed.
Column Name Description
Amount [Display]
This column displays the remit amount.
Transaction Details
Field Description
Network [Display]
This field displays the network name.
UTR No [Display]
This field displays the UTR number of the selected
transaction.
Transaction Details
Narrative [Display]
This field displays the brief description of the payment
transaction.
Cheque No [Display]
This field displays the cheque number.
Currency [Display]
This field displays the currency of the amount paid.
Sender's Details
Name [Display]
This field displays the name of the bank in which sender's
account is maintained.
Payment [Display]
Details(7023)1 to 4
Thjs field displays the details of RTGS payment like Amount
in Charges Information, Member Identification in Charges
Agent and Instruction Information.
Code/Code [Display]
Info(6719)(5551)
This field displays RTGS Account with Institution- Ignored.
Originator of [Display]
Remit(7002) 1 to 4
This field displays the RTGS Remit Originator 1 to 4.
Beneficiary Details
Account [Display]
This field displays the beneficiary account on which the
transaction was activated.
Name [Display]
This field displays the name of the beneficiary bank.
Transaction Dates
Authorizer Id [Display]
This field displays the Id of the officer who has authorized the
transaction.
Status
Field Description
User Id [Display]
This field displays the user Id of the user who has done the changes.
Date [Display]
This field displays the date and timestamp of when the changes
done to the transaction.
Transaction [Display]
Status
This field displays the transaction status.
Reason [Display]
This field displays the reason code (stage wise reason).
Select [Toggle]
Double click the status to change the mandate.
If Y is selected then it allows the user to revoke the mandate.
6. Click the Close button.
1.3. PM037 - RTGS-NEFT-Beneficiary Master Maintenance
Oracle FLEXCUBE allows you to make repeated payments from an account to a given beneficiary.
In order to avoid repetition of entering of the beneficiary details, whenever you are transferring
funds, you can use this option to capture the details of the beneficiary.
You can add the beneficiary details for a particular account using this option.
Definition Prerequisites
PM004 - Bank Branch Directory
Modes Available
Not Applicable
Field Description
Description [Display]
This field displays title of the account.
Beneficiary ID [Display]
This field displays the beneficiary id .
It is a unique identification number assigned to a beneficiary
for a payment transaction.
Beneficiary Details
Beneficiary Address
Field Name Description
3. Enter the account number and press the <Tab> or <Enter> key.
4. Enter the beneficiary details.
Definition Prerequisites
PM002 - Payments Transaction Definition
Modes Available
Not Available
Field Description
Transaction Details
Field Name Description
Charges(LCY) [Display]
This field displays the service charges to be applied in local
currency.
Field Description
Field Description
Definition Prerequisites
PM002 - Payments Transaction Definition
Modes Available
Not Available
Transaction Details
Field Description
Field Description
Definition Prerequisites
PM002 - Payments Transaction Definition
Modes Available
Not Available
Transaction Details
Beneficiary Details
Definition Prerequisites
PM056 - Payment File Provider Details
*PM004 - Bank Branch Directory
BAM40 - Reason Code Maintenance
Modes Available
Add, Modify, Delete, Cancel, Amend, Authorize, Inquiry. For more information on the procedures
of every mode, refer to Standard Maintenance Procedures.
Field Description
Sponsor Details
Destination Details
Mandate Details
Frequency [Display]
Select the frequency of the mandate. The options are:
Only Once
Daily
Weekly
Bi -Monthly
Monthly
Quarterly
Half Yearly
Yearly
As and when presented.
Note: This field is applicable only for Mandate Type Debit
Field Name Description
Definition Prerequisites
Not Applicable
Modes Available
Add, Modify, Delete, Cancel, Amend, Authorize, Inquiry. For more information on the procedures
of every mode, refer to Standard Maintenance Procedures.
Field Description
Mandate Details
UMRN [Display]
This field displays the unique mandate reference number as
maintained in Payments Mandate Maintenance screen.
Frequency [Display]
This field displays the frequency value as maintained in the
Payments Mandate Maintenance screen.
Amount [Display]
This field displays the amount value as maintained in the
Payments Mandate Maintenance screen.
Definition Prerequisites
2056 - RTGS - Bank Payment
2055 - RTGS Outgoing Payment Initiation - Customer
Modes Available
Not Available
Network ID [Display]
This field displays the network id as RTGS.
6. Click the Fetch button. The system displays a list of transactions matching the entered
criteria in the Summary tab.
Summary
Field Description
Number Of [Display]
Records
This field displays the total count of the records under a selection.
UTR No [Display]
This column displays the UTR number.
Account No [Display]
This field displays the CASA or GL account number from which
the payment transaction is initiated.
Column Name Description
Cr IFSC [Display]
This field displays the IFSC code of the beneficiary bank to which
the credit is given.
Amount [Display]
This field displays the amount of the payment transaction.
Status [Display]
This field displays the status of the payment transaction.
Maker Id [Display]
This field displays the maker Id.
Channel Id [Display]
This field displays the channel Id.
7. Select the Select All check box to reject or authorize all the transactions.
OR
Double-click a record to view its details. The system enables the relevant tab.
Note: The flow of payment transaction will be- At the time of Initiation proper funds management
check will be done. If the funds are not sufficient then system displays a message "Account would
overdraw ". Supervisor can authorise or reject the transaction. Transaction will not be completed
if the reason cannot be overridden (e.g. account blocked) and supervisor will reject the
transaction, else a prompt "All the reasons" will be displayed. If the supervisor selects Ok, the
transaction will be marked for force debit and send to Authoriser ( based on Authorisation Limits).
In case of ‘Cancel’ the focus will move back to the transaction screen and the supervisor can
choose to reject the transaction.
RTGS Details
Field Description
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Transaction Details
Sender's [Display]
Transaction
This field displays the sender's transaction branch.
Branch
GL Account [Display]
Number
This field displays the GL account number through which the
outgoing payment transaction is initiated.
Cheque No [Display]
This field displays the cheque number of the instrument.
Currency [Display]
This field displays the account currency.
Narrative [Display]
This field display the transaction narration.
Maker Id [Display]
This field displays the maker Id.
Authorization [Display]
Reasons
This field displays the authorization reason for the outgoing
payments.
Beneficiary ID [Display]
This field the beneficiary id.
Beneficiary [Display]
Customer Account
This field displays the beneficiary account number.
No (5561)
Beneficiary [Display]
Customer details
This field displays the beneficiary customer details.
(5561)
Additional [Display]
Information
This field displays the additional information about the code.
Ordering [Display]
Institution
This field displays the ordering institution code.
Ordering [Display]
Institution IFSC
This field display the ordering institution IFSC code.
(5517)
Ordering [Display]
Institution Details
This field displays the ordering institution details.
(5516)
Sender's [Display]
Correspondent
This field displays the sender's correspondence code.
Sender's [Display]
Correspondent
This field displays the sender's correspondence IFSC code
IFSC (5518)
Addition [Display]
Information
This field displays the additional information about the code.
Receiver's [Display]
Correspondent
This field displays the receiver's correspondence code.
Receiver's [Display]
Correspondent
This field displays the receiver's correspondence IFSC code.
IFSC (6500)
Additional [Display]
Information
This field displays the additional information about the code.
Intermediary [Display]
This field displays the intermediary code.
Beneficiary [Display]
Institution
This field displays the beneficiary institution code.
Beneficiary ID [Displays]
This field display the beneficiary ID.
Beneficiary [Display]
Institution IFSC
This field displays the beneficiary institution IFSC code.
Code (6521)
Beneficiary [Display]
Institution Details
This field displays the beneficiary institution details.
Definition Prerequisites
2055 - RTGS Outgoing Payment Initiation - Customer
2056 - RTGS - Bank Payment
PM033 - RTGS-Outgoing Pymt Auth Screen
Modes Available
Not Applicable
Field Description
Field Name Description
Network Id [Display]
This field displays the network id as RTGS.
6. Click the Fetch button. The system displays a list of transactions matching the entered
criteria in the Summary tab.
Summary
Field Description
UTR No [Display]
This column displays the UTR number.
Account No [Display]
This column displays the account number through which the
payment transaction is initiated.
Amount [Display]
This column displays the amount of the payment transaction.
Status [Display]
This column displays the transaction status of the payment
transaction.
7. Select the Select All check box to reject or authorize all the transactions.
OR
Double-click a record to view its details. The system enables the relevant tab.
RTGS Details
Field Description
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Field Name Description
Transaction Details
Sender's [Display]
Transaction
This field displays the sender's transaction branch.
Branch
GL Account [Display]
Number
This field displays the GL account number through which the
outgoing payment transaction was initiated.
Currency [Display]
This field displays the account currency.
Narrative [Display]
This field display the narration.
Authorization [Display]
Reasons
This field displays the authorization reason for the outgoing
payments.
Beneficiary ID [Display]
This field the beneficiary id.
Beneficiary [Display]
Customer Account
This field displays the beneficiary account number.
No (5561)
Beneficiary [Display]
Customer details
This field displays the beneficiary customer details.
(5561)
Additional [Display]
Information
This field displays the additional information about the code.
Ordering [Display]
Institution
This field displays the ordering institution code.
Ordering [Display]
Institution IFSC
This field display the ordering institution IFSC code.
(5517)
Ordering [Display]
Institution Details
This field displays the ordering institution details.
(5516)
Sender's [Display]
Correspondent
This field displays the sender's correspondence code.
Sender's [Display]
Correspondent
This field displays the sender's correspondence IFSC code.
IFSC (5518)
Addition [Display]
Information
This field displays the additional information about the code.
Additional [Display]
Information
This field displays the additional information.
Field Name Description
Receiver's [Display]
Correspondent
This field displays the receiver's correspondence code.
Receiver's [Display]
Correspondent
This field displays the receiver's correspondence IFSC code.
IFSC (6500)
Additional [Display]
Information
This field displays the additional information about the code.
Intermediary [Display]
This field displays the intermediary code.
Beneficiary [Display]
Institution
This field displays the beneficiary institution code.
Beneficiary ID [Displays]
This field displays the beneficiary ID.
Beneficiary [Display]
Institution IFSC
This field displays the beneficiary institution IFSC code.
Code (6521)
Field Name Description
Beneficiary [Display]
Institution Details
This field displays the beneficiary institution details.
Definition Prerequisites
Not Applicable
Modes Available
Not Available
Network ID [Display]
This field displays the network id as RTGS.
Field Description
Number Of [Display]
Records
This field displays the total count of the records under a selection.
Pagination will not be provided on the incoming screens. All 150
records should be displayed in a single page.
Account Title +
[Display]
Joint Account
This field displays the account and short name of the joint
Names
holders.
Column Name Description
Sender Name
[Display]
This field displays the name of the sender received in the
incoming payment message.
Amount [Display]
This field displays the remit amount.
Transaction Status
[Display]
This field displays the status of the payment transaction status
can be tanked and repaired.
Transaction
[Display]
Reference No.
This field displays the system generated transaction reference
number.
Transaction Receipt
[Display]
time stamp
This field displays the date and time for receipt of the payments
message.
UTR No
[Display]
This field displays the UTR number.
Remittg Bank
[Display]
This field displays the remitting bank name.
Remittg Branch
[Display]
This field displays the remitting branch name.
Reject Reason
[Display]
This field displays the reason for which the authorization is
required. For example, invalid account number.
5. Select the Select All check box to authorize all the transactions.
OR
Double-click a record to view its details. The system enables the relevant tab.
RTGS Details
The details of the RTGS incoming payment transaction are displayed.
Field Description
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Transaction Details
Sender's [Display]
Transaction
This field displays the sender's transaction branch.
Branch
GL Account [Display]
Number
This field displays the GL account number for which the incoming
payment transaction is initiated.
Currency [Display]
This field displays the account currency.
Beneficiary [Display]
Customer details
This field displays the beneficiary customer details.
(5561)
Narrative [Display]
This field display the narration.
Reason [Display]
Description
This field displays the reason description.
Column Name Description
Authorization [Display]
Reasons
This field displays the authorization reason for the incoming
payments.
Beneficiary ID [Display]
This field the beneficiary id.
Beneficiary [Display]
Customer Account
This field displays the beneficiary account number.
No (5561)
Addition [Display]
Information
This field displays the additional information about the code.
Ordering [Display]
Institution
This field displays the ordering institution code.
Ordering [Display]
Institution IFSC
This field display the ordering institution IFSC code.
(5517)
Ordering [Display]
Institution Details
This field displays the ordering institution details.
(5516)
Sender's [Display]
Correspondent
This field displays the sender's correspondence code.
Sender's [Display]
Correspondent
This field displays the sender's correspondence IFSC code
IFSC (5518)
Addition [Display]
Information
This field displays the additional information about the code.
Column Name Description
Receiver's [Display]
Correspondent
This field displays the receiver correspondence code.
Receiver's [Display]
Correspondent
This field displays the receiver correspondence IFSC code
IFSC (6500)
Additional [Display]
Information
This field displays the additional information about the code.
Intermediary [Display]
This field displays the intermediary code.
Beneficiary [Display]
Institution
This field displays the beneficiary institution code.
Beneficiary ID [Displays]
This field displays the beneficiary ID.
Beneficiary [Display]
Institution IFSC
This field displays the beneficiary institution IFSC code.
Code (6521)
Beneficiary [Display]
Institution Details
This field displays the beneficiary institution details.
6. To repair the incoming payment transaction for invalid accounts, click the Repair button.
7. To return the incoming payment transaction, click the Return button.The system displays
the message "Return Operation Complete". Click the Ok button.
8. To authorize the incoming payment transaction, click the Authorize button.The system
displays the message "Transaction Authorized". Click the Ok button.
Note: If clicking on 'Authorize' button overrides conditions (e.g. High level Memo present on
account, Account status Dormant, Account status Dormant and credit block with override,
Account status Credit block with override or Account status Credit block) is present a respective
override message is displayed. If user clicks on “OK” button then the transaction will be
overridden and committed and “Cancel” button then the transaction will not be overridden and
has to return the transaction through Return button in the screen.
For reject reason the system will display the reject reason and then force the authorizer to return
the transaction.
9. Once the transaction has been authorized the system fetches the next record for
authorisation. After last transaction system displays a message ‘'No more records
pending'’.
1.12. PM036 - RTGS - Incoming Payment For Semi
Authorized
This screen will be used for authorizing semi authorized transactions only. Access right of this
screen will be given to the supervisors only.
If authorized by the concerned authoriser then the transaction will be marked as “Completed”.
If returned the semi authorized transactions by using this screen then new RTGS reference
number will be generated and then the transaction will follow the normal outward flow. Whether
these returned incoming transactions will require single or dual or no authorization will depend on
the payment transaction code defined for the for return of incoming transactions in PM002 -
Payments Transaction Definition screen and auth limit set for this payment codes in PM039 -
Payment Transaction Attributes screen.
Example:
Suppose for return of R41I-RTGS Customer incoming transactions, a new payment code R41IR
is defined in PM002 and similarly the payment transaction attributes (such as auth limits) are
defined in PM039. While returning the R41I transactions FC will take into consideration the values
set for R41IR in the PM039 screen to determine whether these returned transactions will require
single authorization or double or no authorization.
Definition Prerequisites
PM002 - Payments Transaction Definition
PM035 - RTGS Incoming Pymt Auth Screen
PM039 - Payment Transaction Attributes
Modes Available
Not Available
Field Description
Network ID [Display]
This field displays the network id as RTGS.
Transaction [Display]
Status
This field displays the current status (at the time of inquiry) of a
transaction .
By default system displays the transaction status as Accept Semi
Authorized. This will be filtered and subsequently can be
authorized or returned.
Summary
Field Description
Number Of [Display]
Records
This field displays the total count of the records under a selection.
Pagination will not be provided on the incoming screens. All 150
records should be displayed in a single page.
Amount [Display]
This field displays the remit amount.
Transaction [Display]
Reference No
This field displays the transaction reference number
UTR No [Display]
This field displays the UTR number.
5. Select the Select All check box to authorize all the transactions.
OR
Double-click a record to view its details. The system enables the relevant tab.
RTGS Details
The details of the RTGS incoming payment transaction are displayed.
Field Description
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Transaction Details
Sender's [Display]
Transaction
This field displays the sender's transaction branch.
Branch
Column Name Description
GL Account [Display]
Number
This field displays the GL account number for which the incoming
payment transaction is initiated.
Currency [Display]
This field displays the account currency.
Beneficiary [Display]
Customer details
This field displays the beneficiary customer details.
(5561)
Narrative [Display]
This field display the narration.
[Optional, Drop-Down]
Select the return code from the drop-down list.
Reason [Display]
Description
This field displays the reason description.
Column Name Description
Authorization [Display]
Reasons
This field displays the authorization reason for the incoming
payments.
Beneficiary ID [Display]
This field the beneficiary id.
Beneficiary [Display]
Customer Account
This field displays the beneficiary account number.
No (5561)
Addition [Display]
Information
This field displays the additional information about the code.
Ordering [Display]
Institution
This field displays the ordering institution code.
Ordering [Display]
Institution IFSC
This field display the ordering institution IFSC code.
(5517)
Ordering [Display]
Institution Details
This field displays the ordering institution details.
(5516)
Sender's [Display]
Correspondent
This field displays the sender's correspondence code.
Sender's [Display]
Correspondent
This field displays the sender's correspondence IFSC code
IFSC (5518)
Addition [Display]
Information
This field displays the additional information about the code.
Column Name Description
Receiver's [Display]
Correspondent
This field displays the receiver correspondence code.
Receiver's [Display]
Correspondent
This field displays the receiver correspondence IFSC code
IFSC (6500)
Additional [Display]
Information
This field displays the additional information about the code.
Intermediary [Display]
This field displays the intermediary code.
Beneficiary [Display]
Institution
This field displays the beneficiary institution code.
Beneficiary ID [Displays]
This field displays the beneficiary ID.
Beneficiary [Display]
Institution IFSC
This field displays the beneficiary institution IFSC code.
Code (6521)
Beneficiary [Display]
Institution Details
This field displays the beneficiary institution details.
6. If the data entered is wrong, click Deny button to reject the transactions so that it can be
modified again by maker.
7. To repair the incoming payment transaction for invalid accounts, click the Repair button.
8. To return the incoming payment transaction, click the Return button.The system displays
the message "Return Operation Complete". Click the Ok button.
9. To authorize the incoming payment of semi authorised transaction, click the Authorize
button.The system displays the message "Transaction Authorized". Click the Ok button.
Note:If during authorization of semi authorized transactions a new override reason has been
occurred. Click the authorize button, a respective override message is displayed with ‘Ok’ and
‘Cancel’ button.Click the Ok button, transaction will be overridden and marked as 'completed',
click“Cancel” button, the transaction will not be overridden and later on if the user wants then he
can have again take a decision to override or return the same transaction .
10. Once the transaction has been authorized the system fetches the next record for
authorisation. After last transaction system displays a message ‘'No more records
pending'’.
1.13. PM043 - NEFT-Outgoing Pymt Auth Screen
Outgoing payment transactions involve accessing secured networks and the payment is initiated
after checking that fund transfer request is made by the authorized signatory of the account.
Using this option you can authorize or reject the transaction initiated for the outgoing payments. It
also allows you to authorize bulk transactions. Transactions will not be successfully executed if it
is not duly authorized within the timeline window.
Definition Prerequisites
2057 - NEFT Outgoing Payment Initiation
Modes Available
Not Available
Network ID [Display]
This field displays the network id as NEFT.
6. Click the Fetch button. The system displays a list of transactions matching the entered
criteria in the Summary tab.
Summary
Field Description
Number Of [Display]
Records
This field displays the total count of the records under a selection.
Account No [Display]
This column displays the CASA or GL account number from
which the payment transaction is initiated.
Cr Account No [Display]
This column displays the account number of the beneficiary
account to which the credit is given.
User ID [Display]
This column displays the user Id who has initiated the
transaction.
Amount [Display]
This column displays the amount of the payment transaction.
Status [Display]
This field column displays the status of the payment transaction.
User Id [Display]
This column displays the user id whose transactions need to be
authorized, from the pick list.
7. Select the Select All check box to reject or authorize all the transactions.
OR
Double-click a record to view its details. The system enables the relevant tab.
Note: The flow of payment transaction will be- At the time of Initiation proper funds management
check will be done. If the funds are not sufficient then system displays a message "Account would
overdraw ". Supervisor can authorise or reject the transaction. Transaction will not be completed
if the reason cannot be overridden (e.g. account blocked) and supervisor will reject the
transaction, else a prompt "All the reasons" will be displayed. If the supervisor selects Ok, the
transaction will be marked for force debit and send to Authoriser ( based on Authorisation Limits).
In case of ‘Cancel’ the focus will move back to the transaction screen and the supervisor can
choose to reject the transaction.
NEFT Details
Field Description
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Transaction Details
Sender's [Display]
Transaction
This field displays the sender's transaction branch.
Branch
GL Account [Display]
Number
This field displays the GL account number through which the
outgoing payment transaction is initiated.
Cheque No [Display]
This field displays the cheque number of the instrument.
[Display]
This field displays the debit account status.
Currency [Display]
This field displays the account currency.
Narrative [Display]
This field display the narration.
Maker Id [Display]
This field displays the maker Id.
Authorization [Display]
Reasons
This field displays the authorization reason.
Originator of [Display]
Remittance (7002)
This field displays the originator of remittance.
Beneficiary Details
Beneficiary ID [Displays]
This field display the beneficiary ID.
Beneficiary [Displays]
Customer Account
This field displays the beneficiary customer account number.
No. (5561)
Beneficiary [Display]
Customer Name
This field displays the name of the beneficiary account holder.
(6081)
Beneficiary [Display]
Account Type
This field displays the beneficiary account type.
(6310)
Beneficiary [Display]
Customer Address
This field displays the address of the beneficiary customer.
(5565)
Transaction Dates
Definition Prerequisites
2057 - NEFT Outgoing Payment Initiation
PM043 -NEFT-Outgoing Pymt Auth Screen
Modes Available
Not Applicable
Field Description
Field Name Description
Network Id [Display]
This field displays the netwrok ID.
6. Click the Fetch button. The system displays a list of transactions matching the entered
criteria in the Summary tab.
Summary
Field Description
Account No [Display]
This column displays the account number through which the
payment transaction is initiated.
7. Select the Select All check box to reject or authorize all the transactions.
OR
Double-click a record to view its details. The system enables the relevant tab.
NEFT Details
Field Description
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Transaction Details
Sender's [Display]
Transaction
This field displays the sender's transaction branch.
Branch
GL Account [Display]
Number
This field displays the GL account number through which the
outgoing payment transaction is initiated.
Currency [Display]
This field displays the account currency.
Narrative [Display]
This field displays the narration.
Authorization [Display]
Reasons
This field displays the authorization reason for the outgoing
payments.
Originator of [Display]
Remittance (7002)
This field displays the originator of remittance.
Beneficiary Details
Beneficiary ID [Displays]
This field displays the beneficiary ID.
Beneficiary [Displays]
Customer Account
This field displays the beneficiary customer account number.
No. (5561)
Beneficiary [Display]
Customer Name
This field displays the name of the beneficiary account holder.
(6081)
Beneficiary [Display]
Account Type
This field displays the beneficiary account type.
(6310)
Beneficiary [Display]
Customer Address
This field displays the address of the beneficiary customer.
(5565)
Field Name Description
Definition Prerequisites
Not Applicable
Modes Available
Not Available
Field Description
Network ID [Display]
This field displays the network ID.
From Serial
[Numeric, 5]
Number
Type the serial number from which you need to select the
payments.
All incoming payments are assigned a serial number.
To Serial Number
[Numeric, 5]
Type the serial number up to which you need to select the
payments.
All incoming payments are assigned a serial number.
Field Description
Number Of [Display]
Records
This field displays the total count of the records under a selection.
Pagination will not be provided on the incoming screens. All 150
records should be displayed in a single page.
Batch Sr No.
[Display]
This field displays the serial number for the batch entries.
Sender Name
[Display]
This field displays the name of the sender received in the
incoming payment message.
Amount [Display]
This column displays the remit amount.
Status [Display]
This column displays the status of the payment transaction.
Account No [Display]
This column displays the CASA or GL account number into
which the payment is to be credited.
6. Select the Select All check box to authorize all the transactions.
OR
Double-click a record to view its details. The system enables the relevant tab.
NEFT Details
The details of the NEFT incoming payment transactions are displayed.
Field Description
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Transaction Details
Sender's [Display]
Transaction
This field displays the sender's transaction branch.
Branch
GL Account [Display]
Number
This field displays the GL account number for which the incoming
payment transaction is initiated.
Currency [Display]
This field displays the account currency.
Narrative [Display]
This field display the narration.
Beneficiary [Display]
Customer Name
This field displays the name of the beneficiary.
(6081)
Transaction [Display]
Posting Date
This field displays the transaction posting date.
Authorization [Display]
Reasons
This field displays the authorization reason.
[Optional, Drop-Down]
Select the reason code from the drop-down list.
Reason [Display]
Description
This field displays the description of the reason code.
Originator of [Display]
Remittance (7002)
This field displays the originator of remittance.
Beneficiary Details
Beneficiary ID [Displays]
This field displays the beneficiary ID.
Beneficiary [Displays]
Account Number
This field displays the beneficiary customer account number.
(6061)
Beneficiary [Display]
Account Type
This field displays the beneficiary account type.
(6310)
Beneficiary [Display]
Customer Address
This field displays the address of the beneficiary customer.
(5565)
Definition Prerequisites
PM002 - Payments Transaction Definition
PM039 - Payment Transaction Attributes
PM045 - NEFT - Incoming Pymt Auth Screen
Modes Available
Not Applicable
Field Description
Network ID [Display]
This field displays the network ID.
Summary
Field Description
Number Of [Display]
Records
This field displays the total count of the records under a selection.
Pagination will not be provided on the incoming screens. All 150
records should be displayed in a single page.
Batch Sr No [Display]
This column displays the batch serial number generated at the
time of payment initiation.
Account [Display]
Titles+Joint
This column displays the account title and the joint account's
Account Name
name
Amount [Display]
This column displays the remit amount.
Status [Display]
This column displays the status of the payment transaction.
Account No [Display]
This column displays the CASA or GL account number from
which the payment transaction is initiated.
3. Enter the RD account number and press the <Tab> or <Enter> key.
4. Select the installment mode fr
5. Select the Select All check box to authorize all the transactions.
OR
Double-click a record to view its details. The system enables the relevant tab.
NEFT Details
The details of the NEFT incoming payment transactions are displayed.
Field Description
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Payment [Display]
Transaction Code
This field displays the transaction code of the selected payment.
Transaction Details
Sender's [Display]
Transaction
This field displays the sender's transaction branch.
Branch
GL Account [Display]
Number
This field displays the GL account number for which the incoming
payment transaction is initiated.
Currency [Display]
This field displays the account currency.
Charges(LCY) [Display]
This field displays the service charges to be applied in local
currency.
Narrative [Display]
This field displays the narration.
Beneficiary [Display]
Customer Name
This field displays the name of the beneficiary.
(6081)
Transaction [Display]
Posting Date
This field displays the transaction posting date.
Authorization [Display]
Reasons
This field displays the authorization reason.
Reason [Display]
Description
This field displays the description of the reason code.
Field Name Description
Originator of [Display]
Remittance (7002)
This field displays the originator of remittance.
Beneficiary Details
Beneficiary ID [Displays]
This field displays the beneficiary ID.
Beneficiary [Displays]
Account Number
This field displays the beneficiary customer account number.
(6061)
Beneficiary [Display]
Account Type
This field displays the beneficiary account type.
(6310)
Beneficiary [Display]
Customer Address
This field displays the address of the beneficiary customer.
(5565)
Definition Prerequisites
"PM043 - NEFT-Outgoing Pymt Auth Screen" on page 111
BA452 - File Upload (GEFU ++)
Modes Available
Not Applicable
Field Description
Authorize [Optional]
Click the button to authorize the payment transaction.
Reject [Optional]
Click the button to reject the payment transaction.
Definition Prerequisites
"PM043 - NEFT-Outgoing Pymt Auth Screen" on page 111
BA452 - File Upload (GEFU ++)
Modes Available
Add, Authorize, Inquiry
Field Description
Field Description
Field Description
Action [Display]
This field displays the action taken.
Field Name Description
Source [Display]
This field displays the source.
Initiator [Display]
This field displays the initiator id.
Authorizer [Display]
This field displays the ID of the authorizer.
Definition Prerequisites
NA
Modes Available
Add, Delete, Cancel, Authorize. For more information on the procedures of every mode, refer to
Standard Maintenance Procedures.
Field Description
IC [Display]
The system displays the IC number of the selected
customer.
ID [Display]
The system displays the ID number of the selected
customer.
MMID Details
MMID [Display]
The system displays the generated MMID.
Definition Prerequisites
NA
Modes Available
Add, Delete, Cancel, Authorize. For more information on the procedures of every mode, refer to
Standard Maintenance Procedures.
MPIN Maintenance
Field Description
IC [Display]
The system displays the IC number of the selected
customer.
Account Details
MMID Details
MMID [Display]
Displays the MMID generated for the customer.
Definition Prerequisites
NA
Modes Available
Not Available
Field Description
Channel ID [Optional]
Select the channel id from the picklist.
Field Description
Amount [Display]
This field displays the amount in the transaction.
Transaction Summary
Field Description
Network [Display]
This field displays the network name.
Transaction Details
Narrative [Display]
This field displays the brief description of the payment
transaction.
Currency [Display]
This field displays the currency.
Senders Details
MMID [Display]
This field displays the sender's MMID.
Field Name Description
Name [Display]
This field displays the name of sender.
Beneficiary Details
MMID [Display]
This field displays the beneficiary MMID.
Name [Display]
This field displays the name of the beneficiary.
Transaction Dates
Status