Overview
This entity represents the bank accounts used by government organizations for expenditures/revenues. The idea is to provide a catalog of government bank accounts that could be referenced by one or more institutions.
Navigation
Admin ► Common Entities ► Banking Information ► Treasury Bank Account
Treasury Bank Accounts screen fields
Field | Description |
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Code | Unique identification code associated which each Treasury Bank Account. |
Workflow Status | Determines the status of the request depending on the system configuration. At the initial stage, it is as “Created” and it changes as per the process of the workflow i.e. Approval Requested, Approved, Rejected and Cancelled. |
Active | Determines whether the Treasury Bank Account is Active or not. |
Is Default | If the parameter Multi Funds Accounting is populated, this means that is Default can be TRUE, else it means that for the same financial institution there can only be one is Default = TRUE. |
Use Check Book | User can check this box as per the requirement, by default this feature is unchecked. |
Is Cash Book | User can check this box as per the requirement, by default this feature is unchecked. |
Is Payment Quota | User can check this box as per the requirement, by default this feature is unchecked. |
Is Payment Zero | User can check this box as per the requirement, by default this feature is unchecked. |
Is Check Manager | User can check this box as per the requirement, by default this feature is unchecked. |
Is EFT Manager | User can check this box as per the requirement, by default this feature is unchecked. |
Is Project | User can check this box as per the requirement, by default this feature is unchecked. |
Has Children | User can check this box as per the requirement, by default this feature is unchecked. |
Transfer Package Number | Number of the packaged transfer. |
Funding Source | This feature shows the source of financial funding. |
Used In | User can select from the dropdown list in which cases to use the TBA. |
Used For | Possible values are Null, Both, Domestic and Foreign |
Treasury Bank Account Type | It shows the type of bank account is it physical or secondary or virtual. Physical is related to the bank account and it has control over the cheque. |
Treasury Bank Account Parent | Treasury bank account parent check some time system validates its origin (father, Grandfather, etc.…). |
Collection Account | It will display the collection account summary. |
Offset Code | Offset code reference. if applicable, the system will validate that no two GL_offset code are same among the three attributes |
Offset Code for Bank in Transit Revenues | Offset code reference. If this value is entered, then it could be used to implement Cash Control, if parameter. |
Offset Code for Bank in Transit Payments | GL Offset Code for Bank in Transit Payments |
Tolerance | Applied only when General Parameter Treasury Bank Account cash Control is needed. |
Cheque Series | Alphanumeric series entered by the use. |
Cheque Number From | Initial cheque number. |
Cheque Number To | Final cheque number to use. |
Next Cheque Number | Sequential field identifies the next cheque number to use. |
Print Format | User will be able to select which report format the system should use to print cheques related to this treasury bank account. |
Printer Name | Name of identified printer. |
Transfer Id Prefix | Alphanumeric series entered by the user. |
Cheque ID Format Type | Possible Values ('Simple Number', 'Number with leading Zeros'). |
Transfer ID Format Type | Possible Values ('Simple Number', 'Number with leading Zeros', 'Prefix + Simple Number', 'Prefix + Number with leading Zeros'). |
Next Transfer Number | Configured by the user if transfers or electronic payments are needed. |
Amount Limit | If this value remains zero, then no limit applies. If this value is higher than zero, the system will validate that no payment (cheque or transfer) can surpass this limit. Should be validated at the EV payment detail level and also when producing the payment extract. |
Available to All Institutions | If true, TBA is available to all institutions. |
Also Allow Child Institutions | If it is true, allow the child institution. |
Abbreviation | A brief description of the Treasury Bank Account. |
Description | A detailed description of the Treasury Bank Account, this description will be useful as a reference of the purpose of this Treasury Bank Account for the institutions. |
Bank Account | It gives information about the account associated with the treasury bank account |
Institution Owner | It provides the information about the institution belongs to. |
Primary Signature | Signature that must be printed in cheque. |
Secondary Signature | Signature that must be printed in cheque. |
Is Collecting Account | If checked – collecting account is available. |
Is Tax Collecting Account | If checked – Tax collecting account is available |
Open From Date | Activation start date. |
Open To Date | Activation end date. |
Has Mix Account | If checked, indicates that this account is related to a current Account |
Address | Collection of addresses details. |