Vault Operation : Vault to Teller / Teller to Vault
After login in Finacle Teller have to check the cash balance and ensure the balance as ZERO
HTCPIAE / HACLINQ
Counter PAs Should do the transaction of Vault using Finacle Menu
HTM
HTM - Transaction Maintenance. It is Mainly used to do the transaction between Office accounts.
Function A- Add Transaction Type / Subtype : C/CT - Cash/Cash Transfer.
Vault Transaction : At Morning
Debit the Teller Account ---> Credit Vault
- Enter HTM in Menu Shortcut Press Enter Button / Click on OK to invoke Finacle Menu.
- Click on Debit and Enter Debit Account No as Teller Account and Enter the Amount which you have required to do the day's transaction.
- Click on Add button to add the New record and Enter the Credit Account Number as Vault then Click on Contra button to Get Credit details and Amount.
- Click on Post to Complete the Counter PA Transaction.
Vault Transaction : At Evening
Counter Should tallies the teller account and view the Account balance using HTCPIAE and check cash on hand.
- Enter HTM in Menu Shortcut Press Enter Button / Click on OK to invoke Finacle Menu.
- Click on Debit and Enter Debit Account No as Vault Account and Enter the Amount which you have required to do the day's transaction.
- Click on Add button to add the New record and Enter the Credit Account Number as Teller Account then Click on Contra button to Get Credit details and Amount.
- Click on Post to Complete the Counter PA Transaction.
Both the above transactions have to verified by the Supervisor by invoke the Same Menu called,
HTM
Function : V- Verify
Teller Reports can be generated using Menu-HFINRPT
Report Name : Common_Counter wise Transaction Report - SBA.
Generate Teller Report in Fiancle
Teller Reports can be generated using Menu-HFINRPT
Report Name : Common_Counter wise Transaction Report - SBA.
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