Repayment commit entry - Details screen - [Cash equivalent] tab
Double click on the spreadsheet row, spreadsheet line on the [Repayment Data List Screen], click the "Details entry" button, and this screen starts up.
→To Operation Procedure
Screen Transition
[Debts Control Module]
↓
[Entry]
↓
[Repayment Commit Entry]
↓
[Repayment commit entry (Sub-screen)] screen
↓(in case of "New")
[Repayment commit entry] screen
↓
[Repayment commit entry - list] screen
↓
[Repayment
commit entry] screen - [Header] tab
[Repayment
commit entry] screen - [Borrowings/Payment interest] tab
[Repayment commit entry - details] screen - [Cash equivalent] tab
or
[Debts Control Module]
↓
[Entry]
↓
[Repayment Commit Entry]
↓
[Repayment commit entry (Sub screen)] screen
↓(in case of "modify/delete")
[Repayment
commit entry] screen - [Header] tab
[Repayment
commit entry] screen - [Borrowings/Payment interest] tab
[Repayment commit entry - detail] screen - [Cash equivalent] tab
Item Setup
This sets up settlement information such as settle method and bank code, debts A/C, debts
department, etc. Whenever the ">>>"button on the upper right hand side of screen is clicked, the [Main Item] and the [Sub-item] are alternately displayed.
[Main Item] (Upper part of screen)
- Row No.
The row number of the details row is displayed.
- Settled status
It cannot be changed when display is feint.
- Settle method
The "Settle method" for the "Borrowings entry" is displayed. It cannot be changed.
- Payment Dept
The "Repayment Dept" for the "Borrowings entry" is displayed. It cannot be changed.
- Expiration date
The "Entry date" (the same date as the "T/F date" in scheduled repayment data) in the [Header] tab is displayed. It cannot be changed.
- No settlement
It is set with the check box switched off. It cannot be changed.
- T/F applicant name
- Own financial institution, Own bank account
- Corresp's financial institution, Correspondent's bank account
- Currency, rate type, exchange rate
The currency, rate type, and exchange rate entered in the [Header] are displayed.
- Payment Amt / Payment Amt (SC)
The "Payment Amt" in scheduled repayment data is displayed in "Payment Amt". It cannot be changed. The result of "Payment Amt - exchange rate" is calculated and displayed in "Payment Amt (SC)", and it can be changed.
- Cash equivalent A/C (Cr), Cash equivalent sub A/C (Cr)
The "Settle A/C" in settle method master is displayed. It cannot be changed.
- D description
"D description" from [Borrowings entry] is displayed, and it can be changed.
- Std. currency settle
It is set with the check box switched off.
[Corresp.'s Financial Institution (EB transmission)]
- JBA code, JBA branch code
- Account type
- Account No.
- B.A.C entried
The check box is switched on for data with a transfer request in the [Bank Account Control Module]. It cannot be changed.
- Bank account nominee
[Sub-items] (Upper part of screen)
- Row No.
The row number is displayed.
- Settled status
The settled status ("Unsettled", "Settling", or "Settled") set in the [Main items] is displayed.
- Settle method
The settle method entered in the [Main items] is displayed.
- Debts Dept
The debts dept entered in the [Main items] is displayed.
- Expiration date
The expiration date entered in the [Main items] is displayed.
- Flexible master 1-3
- Project code 1, 2
"Project code 1, 2" in [Borrowings entry] is displayed, and it can be changed.
- Post pad
"Post pad" in [Borrowings entry] is displayed, and it can be changed.
- Currency, rate type, conversion rate
The currency, rate type and conversion rate entered in the [Header] tab are displayed.
- Debts Entry Amt
The debts entry amount entered in the [Main items] is displayed.
- Debts Amt (SC)
The debts amount (SC) entered in the [Main items] is displayed.
- Flexible Amt 1, 2
- Flexible date 1, 2
- Accounting analysis code 1, 2
"Accounting analysis code 1, 2" from [Borrowings entry] is displayed, and it can be changed.
[Spreadsheet] (Lower part of screen)
- Debts Dept code, name
The name and code of the debts department is displayed. It cannot be changed.
- Settled status
Settled status is displayed. It cannot be changed.
- Settle method code, name
The settle method code and name are displayed. They cannot be changed.
- Expiration date
The expiration date is displayed. It cannot be changed.
- Debts Entry Amt., Debts Amt (SC)
The debts entry amount and the amount converted to standard currency are displayed. They may not be changed.
- A/C code, name/Sub A/C code, name
The names and codes of the A/C and sub A/C are displayed. They cannot be changed.
[Amount Display Spreadsheet] (Lower part of screen)
- Amt of detail row (A)
The total amount including tax entered in the [Details] tab is displayed.
- Cash equivalent Amt (B)
The total amount entered in the [Cash equivalent] tab is displayed.
- Difference (= A - B)
"Amt of detail row (A) - Payment plan Amt (B)" is calculated and displayed.
- Amt (SC) of detail row (C)
The total amount (SC) including tax in the [Details] tab is displayed.
- Cash Equivalent Amt (SC) (D)
The total amount (SC) in the [Cash equivalent] tab is displayed.
- Difference (=C - D)
"Amt (SC) of detail row (C) - Cash equivalent Amt (SC) (D)" is calculated and displayed.
[Buttons]
- Name1/2
- Div row
It cannot be used when display is feint.
- Copy row
It cannot be used when display is feint.
- Add row
It cannot be used when display is feint.
- Del row
It cannot be used when display is feint.
- Commit
- Save
- Exit