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Account
AA products which are account based, use the Account Property Class to create the associated account record for an
arrangement of the product.
This Property Class manages the descriptive and classification details of an arrangement and is used to create and
maintain the account record that is related to the arrangement.
Although account names are account specific, the user can also default the generic titles from the product and
replace or give additional details at the arrangement level.
Product Lines
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The following Product Lines use the Account Property Class:
     Accounts
     Agent
     Asset Finance
     Deposits
     External Accounts
     Facility
     Insurance External Product
     Lending
     Rewards
     Safe Deposit Box
Property Class Type
The Account Property Class uses the following Property Types:
     Dated
     Enable External
     Enable External Financial
     Enabled For Memo
     Variations Supported
All attributes in the Account Property are stored at the arrangement level and do not track the underlying product.
Property type
Creation of Temenos Transact Account
     When the user creates a financial arrangement, the system generates a Temenos Transact account record. The
     account record generated is allocated a standard Temenos Transact account number according to the rules
     defined in the COMPANY application.
     The ACCOUNT application needs to be configured to generate IDs automatically, for the arrangement module to
     generate an account record.
     The Account record is built by mapping the relevant fields from the DEPT.ACCT.OFFICER, CUSTOMER, ACCOUNT
     and LIMIT properties of the arrangement into the layout of the account record.
     The Account record created cannot be modified directly using the ACCOUNT application, instead the associated
     properties have to be modified using the appropriate maintenance activities from
     AA.ARRANGEMENT.ACTIVITY. The Account record holds the arrangement number in the Arrangement ID
     field.
     The difference between the arrangement account records and Temenos Transact accounts are as follows:
       - There is no CONDITION.GROUP allocated.
       - The Interest and Charges module does not apply to these accounts.
Using the Arrangement Account in Other Temenos Transact Applications
     In order to pay funds into or withdraw funds from an arrangement, any existing Temenos Transact application
     that allows an account to be defined, can be used, for example FUNDS.TRANSFER or TELLER.
     In the application, the user can specify the account number, mnemonic, any alternate account ID linked or the
     arrangement number, when the arrangement is in the same company as the transaction. To use the arrangement
     account in an application, in a different financial company to the arrangement, the actual account number is
     the only option allowed.
     The Alternate Acc IDs field is set to Y in ACCOUNT.PARAMETER to specify the arrangement number or an
     Alternate Account Number.
     The FUNDS.TRANSFER application can be used to drawdown and commit or deposit funds to an arrangement.
     The Debit.Acct.No and Credit.Acct.No are used to debit or credit the account record associated to
     AA.ARRANGEMENT respectively.
Balance Prefix and Suffix
Account Property Class holds the below Balance Prefix:
     Lending - Current, Due, Aged, Unspecified, Unallocated Debit, Available
     Deposits - Current, Due, Aged, Unspecified, Unallocated Debit, Expected, Payable
     Accounts - Current, Unspecified, Unallocated Debit
     Agent - Unspecified
     Asset Finance - Current, Due, Aged, Unspecified, Advance Payment, Residual
     Safe Deposit Box - Current, Unspecified, Expected, Unallocated Debit
     External Financial - Current, External
 Related Balances
 Attributes
Periodic Attribute Classes
Full Deposit - Periodic rule to control the deposit of full commitment amount.
Actions
The Account Property Class supports the following actions:
 Action Name                   Description
 ACTIVATE                      Used to activate an asset finance contract
 ADJUST.BILL                   Used to adjust the account balance in a bill.
 ADVANCE.REPAY                 Used when balances are paid in advance.
 AGE.BILLS                     Used to age the Account balances that are overdue
 ALLOCATE                      Used for Balance Update in Account
 AUTO.CLOSE                    Used to auto close dormant account
 AUTO.CLOSE.VALIDATE           Used to validate the account to be closed
 BALANCE.MOVEMENT              Used during migration from AC to AR Account for Account balance movements.
 BALANCE.TRANSFORM             Used to raise entries for CUR<ACCOUNT> to AASUSPENSE
 CANCEL.ADVANCE                Used for moving the advance payment to UNC
 CANCEL.DEPOSIT                Used during cancellation of a deposit arrangement
 CANCEL.LENDING                Used during cancellation of a loan arrangement
 CAPTURE.BILL                  Captures the Account details of the bills to be generated for the Lending, Deposits,
                               Savings and Accounts product lines.
Action Name              Description
CHANGE                   Used to update changes in the Account condition
CHARGEOFF                Used to chargeoff the balances
CHECK.CANCEL             Used to check for cancel period while funding or disbursing in an arrangement
CHECK.MEMO               Used to check memo account
CLOSURE.VALIDATE         Used to check the closure validations
CR.MOVEMENT              Applies the credits to the arrangement Account Product Line for the current account
                         balance.
CREATE.INVOICE.BALANCE   Used to Create invoice balance based on working balance
CREATE.INVOICE.BILL      Used to Issue bill for invoice balance
CREATE.RESIDUAL          Used during creation of the residual amount of amortisation
CREDIT                   Applies the unallocated amount from a credit to the[GPD1] arrangement , to the
                         unallocated credit balance of the arrangement.
CREDITPRENOTE            Used when during Credit action when Temenos Transact is either shadow or DDA
DATA.CAPTURE             Used during data capture from legacy account to AR Account
DEBIT                    Applies the unallocated amount from a debit to the arrangement to the unallocated
                         debit balance of the arrangement.
DELINK                   Used in Balance Netting to delink an account
DEPOSIT                  Used during Deposit in Account
DISBURSE                 Used when a loan is disbursed. The action results in the current balance of the
                         account property being debited.
DR.MOVEMENT              Applies the debits to the arrangement Account Product Line for the current account
                         balance.
EXPIRE.BILL              Used in Expire Bill Action for Account Property Class
Action Name              Description
FORCE.CLOSE              Used to clear external balances and force close an arrangement
FORCE.SUSP.TRANSFORM     Used in Suspense for all forms of interest and charges in payment schedule
FORCECREDIT              Used in Force Credit action of external DDA
FORCEDEBIT               Used in Force Debit action of external DDA
FUTURECREDIT             Used in future dated Force Credit action of external DDA
FUTUREDEBIT              Used in future dated Force Debit action of external DDA
ISSUE.CLOSURE.BILL       Used to issue closure bill for an arrangement
MAINTAIN                 Used whenever one of the properties linked to the Temenos Transact ACCOUNT
                         record (CUSTOMER, DEPT.ACCT.OFFICER, LIMIT, ACCOUNT) is modified. The action
                         does not generate any accounting movement but updates the related Temenos
                         Transact ACCOUNT record to reflect the values for the arrangement property. This
                         results in the creation of a Temenos Transact arrangement account when the New-
                         Arrangement activity is processed. A scheduled MAINTAIN account activity LENDING-
                         MAINTAIN-ACCOUNT is raised for the future effective date, that is processed in the
                         Start of Day of the effective date. The MAINTAIN activity updates the ACCOUNT
                         record with the future dated changes.
MAKE.DUE                 Applies the amount of principal due to be repaid to the DUE account property
                         balance and reduces the current account property by the amount to be made due.
                         The amount to be made due is determined from the associated bill that is being
                         made due.
MOVE.BALANCE             Used as a routine to move the PAY account balance to an internal account
OFFSET.INVOICE.BALANCE   Used to Offset the invoice balance based on capitalise amount
PAY                      Used in Payout action for Accounts
RECEIVE                  Used in to Receive funds in an Account
REDEEM                   Used when an arrangement is matured and balances are to be redeemed to
                         customer.
 Action Name                  Description
 REPAY                        Allocates an amount of principal to be repaid to the appropriate account balance.
                              Depending on the PAYMENT.RULE applied, the repayment is made against billed or
                              current amounts.Processing determines the amount and balance to be credited based
                              on the PAYMENT.RULE definition and can result in credit being applied to the CUR,
                              DUE or AGED balances of the account property.
 REPOSSESS.ASSET              Used while returning the Asset for repossession
 RESERVEFUNDS                 Used for Debit action when Temenos Transact is either shadow or DDA
 RESIDUAL                     Used to allocate Residual funds in an amortisation schedule.
 RESTRUCTURE                  Used in Balance Netting to restructure an arrangement.
 SETTLE.SUSP                  Used when suspended balances are settled
 TRANSFORM                    Used to raise entries for AASUSPENSE to CUR<ACCOUNT>INF
 UPDATE                       Used to apply the changes to the Account property attributes and does not result in
                              any accounting updates.
 UPDATE.APR                   Used to update the Annual Percentage Rate (in APR calculation) – that is the
                               Apr Type and Apr Rate fields in the Account condition for account arrangements. In
                              loans and deposits, this activity updates the APR only for non-cashflow type of
                              activity classes (that is, activity classes with Activity Type not set to Cashflow).
Accounting Events
The following actions generate accounting events as defined in Accounting field.
     ACTIVATE
     CANCEL.ADVANCE
     CREDIT
     CR.MOVEMENT
     DEBIT
     DR.MOVEMENT
     DISBURSE
     MAINTAIN
     MAKE.DUE
     REPAY
CAPTURE.BILL
ADJUST.BILL
REPOSSESS.ASSET
RESIDUAL
AGE BILLS