Montran Message Log

Overview

This feature allows the system to store all exchanged messages between GRP and Montran Gateway. Users can view the timestamp of a message, the original message, the direction of the message (Montran to GRP or GRP to Montran), the error message, the payment associated with a message etc... It automatically fetches the information by STP sending and receiving messages process.

Navigation

Treasury Management ► BCTL ► Montran Message Log

Montran Message Log Screen Fields and Tabs

FieldsDescription
Application IDIt is automatically generated a unique ID that identifies the Montran message log in the system.
Message ReferenceThis is for message reference of montran message log. It identifies the message on Montran Gateway.
Montran Message TypeThe Montran Message type (supported by the Montran and ISO 20022). Drop-down allows selecting the message type i.e. ACH PACS002, ACH PACS008 etc..
Montran Message DirectionIt shows the direction of the Montran Message. The message is received or sent.
Error MessageIt keeps track of the error message in case of any error.
Created OnIt shows the Date and Timestamp of creation.
Created ByThe ID of the creator who created the message.
Treasury Bank Account

The treasury bank account of the debtor. This field was created to allow the creation of security restrictions.

IBANIt fetches the information from Bank Account. 
Message retried

Indicates if this message was retired or not.

 

Original Montran Message Logs Tab

Overview

Original message logs that represent the source of current message.

Original Montran Message Logs Screen Fields and Tab

Refer: Montran Message Logs

Payments Tab

Overview

This tab allows user to find a specific Payment Extract Payment record for which users want to see the log.

Payments Tab Screen Fields

Field

Description

Id

Auto-generated Payment Id.

Workflow Status

Depending on the Workflow Configuration Setting for this Entity the basic Stages are: Created, canceled, approval requested, etc.

Workflow Process Status

Depending on the Workflow Configuration Setting for this Entity the basic Stages are: Created, canceled, approval requested, etc.

Payment Extract

Payment Extract to be selected from the lookup button.

Payment Method

Method of payment is to be selected which may be Cash, Cheque, EFT, etc.

Treasury Bank Account

Treasury Bank Account relating to Payment Extract is selected from the lookup button.

Bank Account

Bank account relating to Payment Extract is to be selected from the drop-down box.

Branch

Branch to which the bank account relates is entered in this field.

Bank Account Name

Name of the bank account is entered in this field.

Beneficiary

Vendor to whom the Payment is made is selected from this field.

Cheque Series

The series to which the cheque issued belongs.

Cheque Number

Cheque number which is issued.

Transfer Number

Number identifying the transfer transaction.

Release Date

Date on which payment is released.

Number Of Releases

The number of times in which the total payment was released.

Delivered Date

Date of delivery of the payment amount.

Currency

Currency in which the payment was made.

Exchange Rate

The exchange rate on the date of payment is entered.

Domestic Amount

Total amount in domestic currency.

Foreign Amount

Payment amount expressed in foreign currency.

Handling Indicator

Special indicator defined by the user in Expense Vouchers. Will be used to give more flexibility to group payments.

Created On

Date of creation of Payment Extract.

Created By

The user who created the Payment Extract.

Approved On

Date on which the payment was approved.

Approved By

The user who approved the payment.

Payment Invoices

Invoices related with the payment gets added here.