

Rate wise distribution of interest paid Related account lookup for deposits. Rate wise distribution of deposits Maturity period wise distribution of deposits. General deposit details Scheme wise distribution of deposits. DAM Perform modifications specific to term deposit accounts. Create agent codes for capturing agent information. This requires first, that the account should have been purged and entity creation flag of that account should be Y Purge of general charges records once all the corresponding charge details records have been purged.Ĭreate interest table codes using reference type 30 Set the interest rates to be assigned to the accounts. Create slabs for charge calculation Set up event ids for calculating charges for different event types. Inquire on asset classification using sub option 9 Select the records using asset classification as a criteria. Select the records using asset classification as a criteria.
#Finacle menu list code#
Do the necessary set ups Reference code maintenance System control file maintenance Enter asset details in sub option A Enter asset details in sub option A Enter asset details in sub option A Set up scripts that are used for asset classification and provisioning.
#Finacle menu list serial number#
Create scheme codes and other set ups for scheme types DDA Reference code maintenance To generate serial number by the system Set up exceptions for accounts.
