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Finacle Codes

This document provides shortcuts and commands for the Finacle banking software. It lists keyboard shortcuts for common functions like field navigation, committing transactions, and viewing signatures. It also lists two-letter command codes for various transaction types and reports, including account maintenance, loan processing, clearing, deposits, and more.

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100% found this document useful (1 vote)
18K views7 pages

Finacle Codes

This document provides shortcuts and commands for the Finacle banking software. It lists keyboard shortcuts for common functions like field navigation, committing transactions, and viewing signatures. It also lists two-letter command codes for various transaction types and reports, including account maintenance, loan processing, clearing, deposits, and more.

Uploaded by

Savoir Pen
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as DOCX, PDF, TXT or read online on Scribd
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FINACLE Shortcuts

F1 --- Field Level Help


F2 --- List
F3/Esc --- Quit/Back
F4 --- Accept
F5 --- Background Menu
F6 --- Next block/ Next Page
F9 --- View Signatures
F10 --- Commit
F11 --- Validates & takes the user to Next Field.
TAB/Enter --- Next Field
CTRL+D --- Page Down
CTRL+U --- Page UP
CTRL+E --- Explode/Drilldown
CTRL+F --- Clear Field
Shift+F4 --- Select from list
FINACLE Commands

AACM --- To restrict certain users to restrict certain accounts


ABMR --- Report of Accounts Below Min Balance
ACCBAL --- Details (deep) of account balance
ACINT --- Interest run for an a/c
ACLPOA --- Ledger print out of office accounts
ACMP --- To know the total deposit for a customer
ACTI,ATOR --- Account Turnover Inquiry/Report

ACS --- Find out a/cs opened and closed


during a specific period
ACXFRSC --- TO change the scheme code if it is entered wrongly
ACTODM --- TO Set THE temporary overdraft limit (for cash credit a/c and OD a/c)
ACTODI --- TOD Inquiry
ACLHM --- Account limit history maintenance , (if not performed timely,face
exception-“limit sanction expired”) To give the sanction limit and drawing power
ACSP --- To jotting the number of a/c opened and many more information
ACLPCA --- To take ledger print of customer accounts
ACLI --- Account Ledger inquiry
ACM --- Account maintenance/ modification
ADVC --- Print the transaction advice (to send to customer about bank induced
charges)
ADCREQ --- DEBIT cum ATM card request
ADCMOD --- Verify debit card/ATM request
ADDRM --- Address and name maintenance
AFI --- Audit File Inquiry , Inquire about non-financial entries pending for posting or
verification
AFSM --- To unfreeze and freeze the accounts
AINTRPT --- Generate the interest reports for all types of accounts
ALM --- To or remove the lien amount
ANWTM --- To perform cash transaction for other sol customer
ASTI --- To check the TDS for Particular TDS code
ASSCR --- Assets Classification report
ATI --- Abnormal transaction inqiry
ATMCRA / DPINREQ --- Request for duplicate pin for debit card
ATMREV --- Reversal of wrongly debited ATM payment
ATOR --- TO generate report of turnover,min, max balance, avg balance

BI --- BILL inquiry


BKTI --- Bank inquiry
BM --- BILL maintenance
BPR --- Bills Purchase Report
BR --- Balancing report
BRTI --- Branch inquiry

CAMC --- Change account manager of customer


CACC --- TO charge a/c closure charges
CAAC --- To close an a/c
CAACAU --- To verify closure of an account
CASHTR --- For transferring cash from one branch to another branch
CCA --- to combine the customer ids of customers
CCAPPL --- credit card application
CDDMP --- Payment of DD
CGSTN ---
CHLMT --- Change in sanction limit
CHQENCDL --- REPORT generation of outward clearing zone
CHBM then CHBMAU --- Wrong cheque series issued to account, how to destroy,
reissue
new series
CHGIR --- Charges Register
CORPMOB --- To enter mobile for Corporate net banking
CSE / CCS --- To change the service outlet of an employee
CSHBR --- Cash Balance Report
CREQ; ICHB; CHQBKR --- Request for cheque book generation
CREQAU; ICHBAU --- VERIFY cheque book request
CTM --- Calendar table maintenance/TO Mark holiday
CTSDL --- To generate Outward clearing(OCTM) file
CULI --- Customer unutilized limit inquiry
CUSTBALP --- Account balance of particular cust id
CUS --- Customer Selection
CUMI --- Customer Master Inquiry
CUMM --- TO Create customer id

DDC --- Cancellation of DD/PSI


DDPALL --- TO check if a DD is printed or not?
DDMI --- Printing of Demand draft/pay order
DDLOST --- Entering loss of DD/ pay order
DDNPADV --- Print non-payment advice
DDD --- Issue of duplicate DD/ Pay order
DDREVERT --- Reversing the status of DD/pay order lost
DDIC --- Inquiry on DD/pay order issued
DDID --- Inquiry on DD/pay order paid
DEPMOD --- To calculate interest for deposits before opening the acc.
DRP; NEWDRP --- To print FDR or Deposit receipts
DUDRP --- Duplicate FDR print

EDUEMI --- To change education loan from simple rate of interest to compound
rate of
interest.
EFM --- Employee File Maintenance or users’ functions management
EODREP --- End Of the Day REPort
EXCDM --- Inquiry for minimum work class required to post and approve a
transaction
EXCPRPT --- Exception Report

FBM --- Foreign Bill Maintenance


FBI --- Foreign Bill Inquiry
FBBR --- Foreign bill balancing register
FBADVP --- Foreign bill advice printing
FTI --- Financial Transactions Inquiry , Inquire about entries pending for posting
or
verification
FTR --- Financial transactions report

GCHRG --- To recover charges from account for duplicate passbook, duplicate
demand draft
GDET --- Inquiry can be made on account opened between two dates
GDET --- General Deposit Details
GENR --- Guarantee Expired not Reversed
GECM --- TO attach teller duties to a user
GILR --- Guarantee Issued Liability Register
GIPNP --- Guarantee Invoked not paid
GI --- Guarantee inquiry
GMM --- Guarantee Master Maintenance

GSPI --- To check the scheme code parameters


GP --- Guarantee printing
GSTDET --- GST Details
GSTRES ---

HCRT --- To reverse a transaction


HRTGS --- RTGS/NEFT transfer & verification
HUPM --- View, modify, very, inquire information about users/ user profile
management

IBSRPOST --- Apply for duplicate password of user


IBSTATUS --- To check status of retail & Corporate netbanking
ICTM --- VERIFY inward clearing Entries
IMC --- to transfer inventory from one operator to another
IMGMNT --- Verify images
INTTM --- Interest rate modification
INTADV --- Generation of interest rate advice
INTCERT --- Interest certificate
INSEXPD --- Insurance Expired Report
INQLADC --- Loan Document Expiry report
INQACHQ --- To inquire account number on the basis of cheque number and sol id
IOCLS --- TO check whether all instruments entered in zone are verified
IRM --- Inward remittance maintenance
ISOCR --- Relaxation of inter-sol charges
ISRA --- Inventory status report
ISTR --- Inter sol transaction report
ISIA --- Inventory management

JETCL --- Verification of JET clearing; verify TICKET no.; jcs generation-
J; report generation- R
JTHOLDER --- View the joint holders for an account

K --- Option code for enquiry on the exception raised by system


KCM --- Krishi card maintenance

L --- Option to inquire if a transaction is balanced or not


LAOPI --- Loan Overdue Position Inquiry
LAROR --- Loan accounts not reviewed , LOAN sanction limit review
LAOPI --- Loan overdue position inquiry
LARSH --- Loan repayment schedule report
LAMP --- Loan account master report
LAGI --- Loan account general inquiry
LAMOD --- Loan amount disbursement
LAPAY --- A/C for NPA CREDIT
LATDR --- Loan against TERM deposit
LDIMG --- Load scanned images of customer photo/sign
LTL --- Limit tree lookup
LNM --- Limit node maintenance
LOANODUE --- Loan overdue reports

MACOP --- Quick Opening Of account


MARKPEN --- To mark pending
MCLZOH then O, S, R, G respectively each function after one day gap --- Opening,
suspending, releasing, regularizing the outward clearing zone (be extremely
careful)
MFTM --- Mutual fund transfer transaction
MISREP --- MIS Reports
MSGOIRP --- Outstanding Item report
MICZ --- Opening the reject zone

NP; NR respectively --- Cash Window Normal Payment/Normal Receipt


NRTGS --- RTGS/NEFT transfer & verification
OAAC --- TO create the account number of customer
OAACAU --- Verify account after generation
OCTM --- Verify outward clearing entries
ODFDREP --- Report of matured OD / FD account
ODFB --- Overdue foreign bills
OLTAS --- for receipt of DIRECT taxes (online tax accounting system)
OIQ --- Outward clearing instrument inquiry
ORM --- Outward remittance maintenance

PAPW --- Disable user


PBP; NEWPBP --- Passbook printing
PCLSO --- Print clearing schedule
PICS --- Print outward clearing schedule
Pcunix (SERVICE BRANCH) --- Inward clearing can be uploaded
PLIST --- Pending installments list
PPT --- Post proxy transaction
PR then P; F10 --- Printing of Reports
PSP --- TO print acc. Statement
PTV --- Previous day transaction verification
PWMNT --- To change your password on your own

REDRP --- To reprint the FDR or Deposit receipts


RECSHF --- To recover the TDS shortfall from the customer
REVPEND --- To reverse pending
REJREP --- Inward rejects report generation
RFTDS --- To refund the TDS
RMTDS --- To remit TDS to government
RMI --- Batch processing of inward zone (loading inward clearing data)
RPM --- Role profile management
RTHQRY --- RATE list query (gold coins rates)

SAC --- TO unlock the user id


SCWRPTA --- Shroff cash report
SDD --- Scheme wise distribution of deposit under fixed deposit
SICL --- To print SI covering letter to customer
SII --- To view the standing instructions for a customer id
SIE --- Standing instructions execution
SPTM --- TO reverse the proxy transaction
SPP then SPPAU --- STOP cheque payment
SRM --- To add the security , Security register
STBILL --- To pay service tax bill
STCON --- To enter new request, Regeneration, Acknowledge & Unblock password
for Internet
banking
STKSTMT --- Stock Statement not Received
STKSTMT --- Non submitted stock statement
SOLVAL --- Validation of operation at branch (to,, view pending jobs)
SOLSTAT --- STATus of SOL-
SWOPS --- To credit FFD amt. to SB a/c

TACBSH --- TO change the GL subhead code


TDEXT --- To extend the period of deposit
TDREN --- To renew the FD
TDSIP --- TO generate TDS report/TDS certificate/Form 16
TEI --- Inquire into the exceptional transactions
TEA --- Verification of the exceptional transactions
TLSHL --- House loan under simple rate of interest can be opened
TM --- Payment of PSI
TM --- Any kind of financial transaction (transfer, receipt, payment)
TTUM --- Upload transactions through a floppy
TVSI --- TO check interest parameters
TV --- Mass posting/verification
UNLKZ --- To unlock an outward clearing zone
UCS --- Cheque already paid in system can be marked as unpaid

VCHR --- To print the voucher


VNDRMAST --- Vendor Master for GST
VNDRADDR --- Vendor Address for GST
VNDRINVC --- Vendor invoice for GST

WIALL --- What if analysis of account liability


XOOM --- TO give TRACKING NO to remitter at the time of remittance

HOW to delete/modify outward clearing in verified status


- open a new zone in MCLZOH other than outward clearing zone. Then TROFSETS -
transfer
the entry from outward zone to new zone. Delete/modify entry in new zone.

Day end activity

- check AFI and FTI; then DDXFERNE; then OTCHRGDL; then OTCHRGAP; then
CSOLOP

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