en:app:030bsi:060gi:0920gcd

GCD - Guarantee Claim Data

Module GCD


Datafields

Name Helptext Description Data Type Len Codetable
INR Internal Unique ID Text 8
OWNREF Own Reference Text 16
PNTINR Parent Contract INR Text 8
PNTTYP Parent Contract Type Text 6
NAM Name Text 80
OPNTRNINR TRNINR which opened contract Text 8
CREDAT Date Created Date 12
CLSDAT Date Closed Date 12
OPNDAT Opening Date Date 12
NEWEXPDAT Validity Requested Date 12
OWNUSR Responsible User Text 8
VER Version Text 4
CLMTYP Type of Claim Text 1 Embedded
CLMCTL Type of Claim/Order Text 1 Embedded
CLMDAT Date of Claim Date 12
CANNOWFLG Payment under Cancelation of Guarantee Text 1
MSGDAT Rejection Message Date Date 12
PAYROL Payer Text 3 ROLALL
DOCPRBROL Presented by Text 3 <fixed-length>
PAYDAT Payment Date Date 12
DIPREIFLG1 Reinstatement Principle Amount Text 1
DIPREIFLG3 Reinstatement Interest Amount Text 1
DIPREIDAY Reinstatement Days Numeric 2
INCCLMREF allNETT Claim Reference Text 16
DEMSTAT Demand Statement Text 4 Embedded
TOTCUR Currency of Total Amount to be Paid Text 3 CURTXT
TOTAMT Total Amount to be Paid Numeric 18
ETYEXTKEY Entity Text 8

Datafield Description and Properties


Datafield INR Internal Unique ID

Unique internal ID of a record within the table. The INR is a text field, which is created by retrieving the next valid entry from the counter of this table. The field INR is used to enable links from other tables to this table.

For contractdata the INR also links the two tables xxD and xxT as associated entries hold the same INR.


Datafield OWNREF Own Reference

This field contains the reference number of the claim created and associated as a subcontract of the guarantee.


Datafield PNTINR Parent Contract INR

This field contains the unique identifcation number of the parent contract.


Datafield PNTTYP Parent Contract Type

This field contains the type of the parent contract.


Datafield NAM Name

This field holds the descriptive name displayed in the application to describe and to search for a contract. In the standard version this field is set by a default rule based on the contract amount and the main party and cannot be modified by the user.


Datafield OPNTRNINR TRNINR which opened contract

This field holds the INR of the transaction which opened/issued the contract.


Datafield CREDAT Date Created

This date field identifies the date the entry was physically added to the database.


Datafield CLSDAT Date Closed

This fields indicates the closing date of a contract. If an entry has been made, the contract is closed and may no longer be used to process business transactions except special transactions like Settling Charges or Common Messages.


Datafield OPNDAT Opening Date

The field holds the opening/issuing date of the contract. If this field is set, the contract has been legally established and it might be used for business transactions. This date describes the point in time when this contract became legally binding. This might be a date prior to the creation date, when the contract was legally binding before it was stored in the database.


Datafield NEWEXPDAT Validity Requested

If a claim has been presented for payment or extension, the new validity date requested by the claimant is entered into this field.


Datafield OWNUSR Responsible User

This field holds the User ID of the person responsible for handling this contract.


Datafield VER Version

This field holds the version counter used to keep track of the history of an entry of this table. The individual versions are managed by entries in the SLG table.


Datafield CLMTYP Type of Claim

This field specifies the type of claim received.

Codetable
Code Text
F First demand
E Pay or extend
O Order to pay
S Non-public surety
P Public surety

Datafield CLMCTL Type of Claim/Order

This field specifies the type of claim/order to pay.

Codetable
Code Text
Q Query to Claim / Order
P Direct Payment
D Direct Rejection
R Advice of Claim/Payment

Datafield CLMDAT Date of Claim

This field specifies the date the claim is received by the bank.


Datafield CANNOWFLG Payment under Cancelation of Guarantee

If this field contains a non-empty value, the liability booking under the claim is reverted for the claim amount; the liability booking under the guarantee is reverted for the full amount of the guarantee and the guarantee is closed. If this field is empty, the liability booking under the guarantee is reverted only for the amount claimed.


Datafield MSGDAT Rejection Message Date

This field specifies the date of the rejection message.


Datafield PAYROL Payer

This field specifies the debit party who is paying the document set (e.g. applicant).


Datafield DOCPRBROL Presented by

Defines the party presenting documents and is the receiver of payment. The payee might be the beneficiary or the 'Advice through Bank'.


Datafield ETYEXTKEY Entity

This field holds the external key of the owning entity to identify the logical owner of this entry.

This field is filled automatically during insert and is used as filter when accessing the database. Without special implementation only entries of the currently active entity are visible to the user.


Datafield PAYDAT Payment Date

Direct Pay date. Date on that payment of the claim should be made.


Datafield DIPREIFLG1 Reinstatement Principle Amount

For Direct payment: Indicator, if the principal amount shall be reinstatable.


Datafield DIPREIFLG3 Reinstatement Interest Amount

For Direct payment: Indicator, if the interest amount shall be reinstatable.


Datafield DIPREIDAY Reinstatement Days

For Direct payment: Reinstanciation period in days (after claim payment)


Datafield INCCLMREF allNETT Claim Reference

The reference no. assigned by the customer for this claim.


Datafield DEMSTAT Demand Statement

This field specifies the narrative text that constitutes the demand.

Codetable
Code Text
COMP Complete demand, no other doc to accompany or follow this msg
INCP Incomplete demand, supporting doc. to be presented separately

Datafield TOTCUR Currency of Total Amount to be Paid

This field contains the currency of the total amount of the MT750 message to be remitted to the sender of the message. As this field is required in other transactions lateron (outgoing MT752 in BETPAY), the field is stored here.


Datafield TOTAMT Total Amount to be Paid

This field contains the total amount of the MT750 message to be remitted to the sender of the message. As this field is required in other transaction lateron (outgoing MT752 in BETPAY), the field is stored here.

en/app/030bsi/060gi/0920gcd.txt · Last modified: 2022/12/09 15:47 (external edit)