Likewise, the facility of availing loans by way of a draw down, from some of the tranches underneath the debtor center contract, is another service that is specific you offer to clients. This may additionally be regarded as a item.
In Oracle FLEXCUBE, a agreement is entered in to the system against an item, and it is certain to a person. For example, a draw down loan for the borrowing consumer under a tranche of a debtor facility agreement is entered to the system against a borrower leg draw down loan item.
Determining an item simplifies the entire process of entering a agreement, because you can define specific characteristics for an item which is put on all contracts entered against the item immediately, saving your energy to specify them afresh every time you input a agreement. Whenever Oracle FLEXCUBE processes the contract, it shall use all of the attributes and specifications designed for this product against that the agreement ended up being entered.
It is possible to enter several agreement against an item.
You should have already defined the following products before you enter any contracts for a facility contract, whether the main contracts or the tranches or loan contracts:
The meaning among these items is explained in more detail when you look at the chapter Products that is defining for Syndication in this individual manual.
5.3 Borrower Center Contract Details
This area provides the following topics:
5.3.1 Capturing Details for Borrower Facility Contract
You are able to capture details for the debtor facility agreement into the Loan Syndication Contract Input display. It is possible to access this display through the Application Browser. You may want to invoke this display by typing ‘ LNDCONON’ into the industry towards the top right corner of this Application device bar and simply clicking the arrow button that is adjoining.
Throughout our conversation of just how debtor center contracts are entered, in this chapter, we will be talking about the instance offered at the start of the chapter.
5.3.2 Attributes of Loan Syndication – Contract Input Screen
When you look at the Loan Syndication Contract Input screen, you capture the following details to enter the borrower center contract:
5.3.3 Contract Tab
You can easily specify the main points in connection with center agreement when you look at the ‘Contract’ Tab.
The Contract Reference Quantity
The Contract Reference quantity uniquely identifies the borrower center agreement into the system. Its created by the system immediately for each and every debtor center agreement.
The device combines the elements that are following form the Contract Reference quantity:
The Contract Reference Number generated by the system was 000SNEW000010001 for instance, if you are entering the facility contract with Mr. Robert Carr, as in our previous example.
The initial three digits will be the code for the branch of one’s bank where in fact the agreement ended up being entered in to the system.
SNEW could be the rule of this debtor facility product which you have got put up against that you are entering Mr. Robert Carr to your facility agreement.
00001 refers to January 1, 2000 (in Julian format) as soon as the agreement ended up being scheduled. (see example given just below to know the way the Julian date is interpreted)
0001 is a operating serial number, incremented by 1 for each agreement joined from the booking date for the item code plus the booking date combination.
The Julian date is expressed when you look at the format that is following YYDDD
Right Here, YY represents the past two numerals associated with the and DDD, the number of elapsed days in the 12 months year.
As an example, 00059, in Julian format, will mean the 28th of February 2000. Here, 00 is short for the year 2000, and 059 would mean amount of elapsed times when you look at the year 2000. The sheer number of elapsed times in January will be 31, accompanied by 59-31 times in February, which computes to 28.
The User Reference Quantity
The reference quantity is the recognition which you specify for the debtor facility agreement. You’ll specify any recognition quantity. This number will also be used to retrieve information about the agreement in addition to the Contract Reference Number produced by the system for the agreement.
By default, the Contract Reference Number produced by the operational system is recognized as to function as User Reference Number for the agreement.
You need to use the User Reference quantity to uniquely identify as well as classify the debtor center agreement for the interior purposes associated with bank. For example, you might want to recognize all center contracts joined into along with clients (borrowers) of a specific net worth; or all clients in a certain nationality, or a certain industry, and so forth. When this happens, it is possible to provide an unique prefix to an individual guide quantity to recognize and classify the agreement.
Specifying this product Code
The syndication contract center is really solution you offer to customers, that you’ve thought as a product. You must specify the facility product that it involves when you are inputting a borrower facility contract in this screen.
As an example, using the illustration of your bank’s center contract with Mr. Robert Carr, why don’t we suppose that you’ve got put up the facility product SNEW to process all center agreements with clients. It is possible to pick SNEW through the choice list.
Contract Details
Within the Contract Details area, you need to specify the annotated following:
Indicating the client
You have to specify the client with whom the center agreement is finalized. This, typically, is the borrowing customer.
The clients permitted to be counterparty to a center agreement are defined for the facility item. Choose the rule of an individual with whom the agreement was entered into, from a summary of these.
A entity that is primary be defined for almost any client that is permitted to be a borrower regarding the center contract, when you look at the Borrower Details screen.