Saturday, April 25, 2015

Working procedure of HTM menu in DOP Finacle

  Admin       Saturday, April 25, 2015
  • HTM stands for Hypertext Transaction Maintainence. 
  • HTM menu is generally used to withdraw the amount from Sundry account. 

What is a Sundry account?

  1. Sundry account is an office account which is an unposted office account 
  2. Unposted office accounts are parking credit accounts.This is an OAP type of account. 
  3. OAP means Office Account Pointing in which we use reference number to reverse the transaction hence it is named as Pointing Account. 
  4. In DOP Finacle for every TDA accounts i.e., for MIS\TD\SCSS accounts there are sundry accounts 0337,0335 and 0338 respectively for all the customer MIS\TD\SCSS accounts system will generate the interest and it will credit the total interest into sundry office accounts mentioned. 
  5. When we perform the transaction using HTM hence the system will ask the reference number as it is OAP account to reverse the amount. 

HTM menu in detail

In DOP Finacle we generally use for withdrawing the interest amount for MIS\TD and SCSS accounts. 
The menu screen will be shown as follows in the below figure 
In this menu there are 2 columns namely Function code and Transaction type\Subtype

Function code 

In this column we have different functions such as add\modify\delet\inquiry and verify as mentioned in the below screen

Depending on the usage select the function code

ADD-- When we are trying to withdraw the amount or cash transfer we use ADD function MODIFY--- when we need modification DELETE--- when we need to delete the transaction INQUIRE--- used to inquire a transaction VERFIY---to verify the transaction

Transaction Type\Subtype

Depending on the usage transaction type\subtype can be C/NP--Cash/Normal payment,T/CI--Customer Induced and C/CT Cash/Cash Transfer as shown in the below figure 
Cash Normal Payment----When the amount is less than 20000/- then we should use the trasaction sub type as Cash Normal Payment.
Customer Induced--- When the amount is 20000/- or above we use customer induced in this we have both Debit and Credit legs.
Cash/Cash Transfer--- when we need tranfer the cash i.e, from vault or to Vault or between tellers we use this transaction type.
When we select the function code and transaction type then the system will display the following screen as shown in the below screen
Then in the above we generally enter the following
  1. Select the transaction as Debit\Credit 
  2. Enter the Account id. 
  3. Enter the amount 
  4. Enter the Reference number 
Select the Restore value as shown in the below figure 
In Restore values there are so many options but in general we use the following
A-Additional Part Tran Details --- which is used in general for performing the MIS\TD or SCSS accounts.
G-Partioning Details--- For reversing the excess amount found in the counter the system will ask the partioning details there we have to enter account id of the teller.
For ex--- When customer noted wrong number then if the original customer asks about the amount then we will withdraw the amount in HTM using G-Partioning Details 
O-Other/Part Transaction Detail--- Which is used to inquire the transaction i.e., by whom the transaction created and by whom the transaction verified.
After entering the above details when we click on Go then the system will show the below screen
Generally remove the start amount and end amount, enter the reference number and in filter option select the option as "Select" then the system will show all the transaction which are reversed and which are not reversed. 
Then click on Go then the system wil display the screen as shown below
Then in the above screen one can observe if the tran amount and reversed amount are same then the payment has been done. 
If the tran amount is there but the reversed amount is '0'(zero) then it means payment is pending for due. 
In order to view the reversed amount details then click on the icon which is present in the field Contra Tran Details then the system will display the details by whom reversed and verified as shown
Click on "x" mark as shown in the above then the system will display the contra details as shown.
logoblog

Thanks for reading Working procedure of HTM menu in DOP Finacle

Previous
« Prev Post

No comments:

Post a Comment

Labels

Aadhar Account Closure Account Conversion Account Extension Account Inquiry Account Modification Account Open Account Renewal Account Transfer Accounting Procedure Agent Agent Menu Agent Portal Already Loggin Issues Android App Annual interest Run APAR Applet Error Application Form Atal Pension Yojana ATM ATM card issue procedure ATM Charges Auditors Authorized Person Average balance Balance Inquiry Banking Software Banner BCP BNPL BO Settlement Account Branch Office Browser Bulk Discharge Bulk Transactions Calendar of Examination Cash Balance Cash Deposit Cash Loading Cash Management Report Cash Withdrawal CBS CBS Migration CBTM CCMM CCRC Central Government Employees CEPT Instructions Certificates Change Interest Rate Cheque Book Cheque Clearance CICD CIF Claim Closure Claim Limits Clarification Closure CMRC CNAC Commission Common issues Consolidation Reports COVID19 Guidelines CPC CPC Activities CPDTM CRDACM CRDP Credentials Credit Card CRESET CSAC CSCCAAC CSI CTM CTS Integration Current Year Interest CUSTAUTH Customer Inquiry CXFER Daily Reports DARPAN Data Migration Command Centre DC Closure DC Closure Instruction Death Closure Defence Demonetisation Deposit Limit Directorate Clarifications Directorate Orders Discontinued Accounts Divisional Office DOP DOP Orders Dormant Account Dropbox Duplicate ATM Duplicate Certificate Duplicate Passbook E-Sign eBanking ECS eKYC Electronic Clearance System Eligibility Criteria Engagement EOD EOY in Finacle Error Code Excess Payment EXCW FAQ Finacle Finacle Menu Finacle Menu belongs to BO Finacle Session Finacle Slowdown Finacle Solution Finacle Speed Finacle Tips Finacle Work flow Financial Year FMenu Forms Freeze Functioning Status General Generate Report GL Code GL Integration GPF Greetings Guide for Finacle HAALM HABI HACCDET HACI HACS HACSP HACXFRSC HACXFSOL HAFI HAFSM HAGTXP HAITINQ Half Margin Memo Handling Cheque HCAAC HCAACTD HCASHPND HCCA HCCFM HCHBI HCHBM HCRT HCUDET HCULA HDSAMM Helpdesk HFINRPT HFTI HFTR HIARM HIMC HINQACHQ HINTTM HIOT HIRM HISCOD HISRA HNAC Holiday HPBP HPBPR HPSP HSSI HTDREN HTDTRAN HTM HTTUM HTV HXFER IES Incentive Income Tax Inquiry on Cheques Inspection Instant ATM Card Interest Calculation Interest Flow Interest Inquiry Interest Payment Interest Rates Interest Recovery Interest Statement Internet Banking Internet Explorer Settings InterSOL Transaction Inventory Inward Clearing IP/ASP/SP IPPB IPPB Manual IR Entry Jansuraksha Java Settings Joint to Single Account KVP KYC Document Ledger Print Lesson 1 Lesson 10 Lesson 11 Lesson 12 Lesson 13 Lesson 14 Lesson 15 Lesson 16 Lesson 17 Lesson 19 Lesson 2 Lesson 3 Lesson 4 Lesson 5 Lesson 6 Lesson 7 Lesson 8 Lesson 9 Lien Live Account Report Loan Account Lock up Period Lok Shaba Mahila Samman Savings Certificate Scheme Maturity Value Memo Pad MGNREGS Micro ATM Minor Account MIS MIS Server Missing Credits Mobile Banking MPKBY MSSC MSSP MSY Name Transfer NEFT New Account Number Nomination Non Migrated Not Transactions NREGA NSC NSS NSS 92 NSS Closure NSS87 Number Account Opened Scheme wise Report Number of Transactions Office Account Online Recruitment Online Training OSL date Outward Cheques Overview Pamphlets Partially Posted Transactions Partly Posted Transactions Passbook Print Passbook view Password Reset Patch Deployment Payment Bank Pending for verification Personalized ATM Card Pledge PMJJBY PMSBY PO Finacle Guide POSB Manuals Post Info Postal Life Insurance Postal Manual PPF Precautions Premature closure Prevent Frauds in CBS Offices Preventive Maintenance Procedure in Finacle PRSS Scheme Public Notice RBI RD RD Commission RD Default RD Deposit RD Verification Re-investment Ready Reckoner Recruitment Reference Register Regularization Reinvestment Relaxations Report Server Reversal Review RICT ROLE / SOL change RTGS Rules Rulings Rural Postal Life Insurance Salary / Pension Sanctioning Authority SAP Saving Account SB SB Counter Tool SB LOT SB Order SBCO SCSS Seeding of Aadhaar and Mobile Number Senior Citizen Welfare Fund Server Maintenance Service Charges Service Request Settings Short Payment Shortcut Keys Sign Off Signature Single Hand Post Office SMR SMS Banking SMS Notification Software Softwares SOL ID Solution Special Arrangements SSA SSA Default Fee Collection Standard Operating Procedure Standing Instructions Stop Payment Sub ledger Code Suggestions Super Agent ID Survey System Administrator TD TDS Teller TimeoutFix TIPM Tool for Mapping Account Number Tools Trail Closure Training Transaction Holiday Transaction Inquiry Transaction Issues TTUM UCR UnFreeze Union Unlock user Unverified Accounts User Guide Value Date Vault Operation Verification of High Balance Video Tutor Wedding Expenses Withdrawal Windows 10 Workshop Wrongly Migrated