Overview
Custody of Assurances in treasury management allows the users to keep tracking the written assurance and guarantees admitted by Ministries and/or the Treasury Office of Government. The custody Guarantee feature contains the collection of guarantees that are in custody of Treasury.
Navigation
Treasury Management ► Custody of Written Assurance ► Custody Guarantee
Custody Guarantee Screen Fields and Tabs
Fields | Descriptions |
Id | The unique identification code, visible to the user, auto-generated by the system. |
Guarantee Number | The user enters the guarantee number by reference. |
Workflow Status | It displays the workflow status of the custody guarantee. It updates according to the approval stage completed. For example, if the user created a new custody guarantee it shows the status as created. After approval of the transaction, it changes the status. |
Guarantee Type | Reference to the Guarantee Type such as Bid Bond, Advance Payment Bond, Performance Bond, etc. |
Guarantee Expired | Date when the Guarantee Period ends. It should be the greater than the system date. For example, the current system date is 2018-12-05 the guarantee period ends date should be higher i.e. 2018-12-15. |
Reference Number | The reference number of the custody guarantee. |
Currency | The user to select the custody guarantee Currency. By default, it shows the country domestic currency. |
Exchange Rate | The feature shows the latest active exchange rate for the selected currency. |
Maximum Guaranteed Domestic Amount | Maximum guaranteed domestic amount. |
Maximum Guaranteed Foreign Amount | Maximum guaranteed foreign amount. |
Issued By | An entity that issued of guarantee. |
Beneficiary | Selects the beneficiary using the lookup button. |
Beneficiary Name | Name of the beneficiary. |
Institution | The user selects the institution name using the lookup button. The accounting office of the institution is allowed only that institute user can select. |
Institution Name | Shows the selected institution name in the field. |
Executed Domestic Amount | The domestic amount which is executed for the custody guarantee. The default value is zero with two decimals point. |
Executed Foreign Amount | The foreign amount which is executed for the custody guarantee. The default value is zero with two decimals point. |
Abbreviation | Title of the custody guarantee. |
Description | A brief description of the custody guarantee. |
Comment | Any comment about why is executed, renewed, etc. the Guarantee. |
Created By | The user information who creates the custody guarantee. |
Created Date | The system fetches the current date of the system. |
Approved By | The approver username display in the field. |
Approved Date | Approval date of the custody guarantee. |