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Click on the action menu to create a fund rebate.

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Property

Comment

Name

The name of the fund rebate

From Account

The account where the money for the fund rebates is deposited. The total amount in the fund rebate must manually be deposited in this account.

Exception Account

If the amount does not match the difference is booked into an exception account that is owned by the house.

From Date

The timespan for the period of the fund rebate. A period from when the customer should av a position in the fund.

To Date

Click Confirm to create the fund rebate. A new tab will be opened where you will view information about the Fund Rebate which now has status Created.

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If you navigate to the big transaction list, Transactions > Business Transactions, you can filter on the transactions that are in the same fund rebate. Click on the icon to filter on batch id.

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Error handling

If there is something wrong with the file there will be an error message. To make it easier for the user to find the error the message shows which row as well as a description of the error. See the examples below.

Correct the file and import it again.

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Exceptions

There can also be an exception these will be visible on the transaction after doing Prepare or Execute. Example: A customer should not have a fund rebate transaction if the account is closed. Then the transactions should be created on the exception account instead.

There will be a message in the transaction list about the exception.

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