RD
loan account payoff done through cash receipt
This error will be thrown in
offices migrated in the middle of the month. (ie on or after 2nd)
In case of Loan Disbursement
or Loan Repayment the value date will be automatically changed to
01st of the month as interest is calculated from the 1st
of the month for loans. As Cash account of that office will not be available as
on 1st (since the office has migrated in the middle of the month)
this error is thrown in Supervisor while verification. This error will be thrown
only in the month of migration and from 2nd month cash be used for
repayment or disbursement.
Workaround to overcome this
error
“In case of Loan disbursement
– Instead of Cash (even if it is below Rs.20,000) select Transfer and show RD
Loan Disburement office account (Account number ending with 323) and pay by
cheque or cash from this office account. ( CTM menu is to be used for this
)
In case of Loan repayment –
Instead of repaying through cash accept loan repayment through Transfer.
Transfer can be from RD Loan Repayment office Account (Account number ending
with 323) or SB account of customer (if available) (CTM Menu to be used for
this).
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