When will the commitment available amount increase?
A decrease in the amount of a NON-REVOLVING loan (increases the commitment's available amount. Please explain if this is correct?
Why the enquiry CUSTOMER.POSITION.SUMMARY does not reflect the current COMMT.AVAIL.AMT?
Rounding Accrual in the T24 system
Date calculation of Interest Accrual
What are the accrual difference in higher release?
Why is the FT transaction posted for asset purchase is in INAU status?
I am getting this error message while trying to early mature an LD contract through a version: "INT.RATE.V.DATE PRIOR TO INTEREST PERIOD START"
Is there a way/setup to be done in T24, when Holiday is set after the loan is drawdown, all existing loan schedule dates are recalculated to ensure none of the dates falls on a public holiday
Is it possible to clear out the accrued interest to date so that if a deposit is pre-closed, only the reimbursed amount appears in the statement without the interest value?