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
Fields | Description |
Application ID | It is automatically generated a unique ID that identifies the Montran message log in the system. |
Message Reference | This is for message reference of montran message log. It identifies the message on Montran Gateway. |
Montran Message Type | The 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 Direction | It shows the direction of the Montran Message. The message is received or sent. |
Error Message | It keeps track of the error message in case of any error. |
Created On | It shows the Date and Timestamp of creation. |
Created By | The 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. |
IBAN | It fetches the information from Bank Account. |
Message retried | Indicates if this message was retired or not. |
Overview
Original message logs that represent the source of current message.
Original Montran Message Logs Screen Fields and Tab
Refer: Montran Message Logs
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. |