INTEREST PAYOUT
Same as MIS. Only the Sundry account number differs. SOL id ending with 0338.
OLD LEGDER: DOP Finacle Menu
NEW LEDGER : DOP Finacle Menu
SCSS ACCOUNT OPENING & ISSUE OF PASSBOOK:
Sl. No
|
WORK DESCRIPTION
|
MENU DESCRIPTION
|
MENU NAME
|
NEW MENU NAME
|
1
|
First check whether the customer already has a CIF.
|
To search CIF
|
CDEDUP
| |
2
|
Then check the cash limit of the customer thro. CIF
|
To enquire cash limit
|
HCRV
| |
3
| Enter the CIF id in the MIS account opening menu and enter all the mandatory fields by the Counter PA. |
To open SCSS account
|
CSCAOP
| |
(As there is no provision for SI auto-credit entries from SCSS->SB, first enter the Interest repayment account as the SB account id)
| ||||
If an account is opened thro.an agent, first verify whether the agent has a valid licence. Then ensure whether SCSS product has been linked to that agent using HDSAMM
| ||||
As TDS will be calculated on the basis of information stored in CIF, first modify in the CIF using CMRC the ‘Tax status” of the customer based on the documents produced.
| ||||
To open an SCSS account by cheque, CIF id of the customer along with scheme type will be written on the back of the cheque and the cheque will be routed thro. Outward Clearing Procedure. | ||||
4
|
Verification by the Supervisor
|
To verify
MIS account opening
|
CSCAOPV
| |
5
|
To modify an SCSS account before verification
|
Modification before verification
|
CSCAOPM
| |
6
|
Passbook Printing
|
To print PB
|
HPBP
| |
7
|
To view the account balance
|
To view account balance
|
HACCBAL
|
MODIFICATION OF SCSS ACCOUNT (CHANGE OF NOMINATION, CONVERSION OF ACCOUNT TYPE, MODIFYING RELATED PARTY – JOINT HOLDER DETAILS):
Sl. No
|
WORK DESCRIPTION
|
MENU DESCRIPTION
|
MENU NAME
|
NEW MENU NAME
|
1
|
To modify the SCSS account (change of nomination,facilitating ECS, change of mode of operation, altering Related Party details (joint holder details) by counter PA
|
To modify SCSS account
|
CSCAM
| |
2
|
Verification by Supervisor
|
Verify the modification
|
CSCAM
|
CONVERSION OF JOINT ACCOUNT TO SINGLE:
Sl. No
|
WORK DESCRIPTION
|
MENU DESCRIPTION
|
MENU NAME
|
NEW MENU NAME
|
1
|
In case of joint accounts, if the main holder moves out (due to death, etc.), remove the CIF id of the main holder from the account and add the CIF id of the other holder by the Counter PA
|
To merge CIF
|
HCCA
| |
2
|
To verify the change of CIF
|
To verify merger of CIF
|
HCCA
| |
3
|
To convert joint account to single account by counter PA
|
To modify SCSS account
|
CSCAM
| |
4
|
Verification by Supervisor
|
Verify the modification
|
CSCAM
|
TRANSACTIONS – INTEREST WITHDRAWAL(for migrated accounts):
Sl. No
|
WORK DESCRIPTION
|
MENU DESCRIPTION
|
MENU NAME
|
NEW MENU NAME
|
1
|
In case of migrated accounts, first view the amount of interest to be paid out to the customer
|
To find out the interest parked for SCSS accounts
|
HIOT
| |
2
|
To view the ledger fo the legacy data
|
TIPM
| ||
3
|
To give Interest by counter PA
|
As in the case of MIS. SCSS sundry account id630001000338
|
TRANSFER OF SCSS ACCOUNT:
Sl. No
|
WORK DESCRIPTION
|
MENU DESCRIPTION
|
MENU NAME
|
NEW MENU NAME
|
1
|
To transfer SCSS account by counter PA
|
To transfer account
|
HACXFSOL
| |
2
|
Verification by Supervisor
|
Verify account transfer
|
HACXFSOL
| |
3
|
To enquire the transfer
|
Tran enquiry
|
HFTI
|
TO CALCULATE TDS FOR SCSS ACCOUNT:
Sl. No
|
WORK DESCRIPTION
|
MENU DESCRIPTION
|
MENU NAME
|
NEW MENU NAME
|
1
|
To calculate TDS for the SCSS account by counter PA
|
To run the Batch job for calculating TDS
|
HTDSCALC
| |
2
|
To view the TDS calculation report
|
To view print report
|
HPR
| |
3
|
To enquire whether TDS calculated for this account
|
Account Tran enquiry
|
HTDTRAN
| |
4
|
To get the TDS report
|
HTDSIP
|
SCSS ACCOUNT CLOSURE:
(always use Trial close option to verify the amount)
Sl. No
|
WORK DESCRIPTION
|
MENU DESCRIPTION
|
MENU NAME
|
NEW MENU NAME
|
1
|
To close SCSS account by counter PA
· If Close mode is Repayment A/c , then the Repayment A/c to be specified. We can specify, OAB or savings accounts in this.
· If Close mode is customer instruction – then the sundry deposit account to be specified.
· If Close mode is chosen as cash – then proceeds go to repayment a/c . From Repayment a/c placeholder, user needs to invoke the menu HCASHPND for transferring it to teller cash a/c.
· If Close mode is chosen as both, the money can be transferred to both Cash mode and repayment mode
|
Close account
|
HCAACTD
| |
2
|
Verification by Supervisor
|
Verify account closure
|
HCAACVTD
| |
3
|
To enquire closure proceeds
|
Enquire TDA transaction
|
HTDTRAN
| |
4
|
To enquire the transaction details and note down the tran-id
|
Tran enquiry
|
HFTI
| |
5
|
To enquire now much cash to be paid to the customer by the Counter PA
|
To enquire cash to be paid to the customer
|
HCASHPND
|
Thanks to dopfinacle.blogspot.in
No comments:
Post a Comment