How To Carry Out Manager’s Cheque Operations In Compliance Planet Anti Money Laundering/Core Banking Finance Software

This section provides a guide on how to perform operations pertaining to Manager’s Cheque, with step-by-step instructions and pictures.

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ can carry out these operations.

  • From the main dashboard, click ‘UTILITY’ as in fig 33.0a below
  • Click on ‘MGRCHQ Operations’ on the left hand side menu as in fig. 33.0b.

(fig. 33.0b)

  • This will display a MGR CHQ operations page as in fig. 33.0c below

(fig. 33.0c)

How to view Manager’s Cheque Transaction Records

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ can carry out these operations.

STEP1: Click on ‘MGR CHQ Explorer’ button on the Manager’s Cheque Operation page. See   Fig 33.2a for an example

(Fig. 33.2a)

  • This  displays a ‘MGR CHQ Explorer’ console as in Fig 33.2b below

(Fig. 33.2b)

STEP 2: Click on SET START DATE and SET END DATE to specify the date range. See an example in Fig 33.2c below

(fig33.2c)

  • Take a look at the arrows labelled a to d in fig. 33.2dto study the calendar.
  • Click on the given year to change it to your year of choice.
  • Click on the given month to change it to your month of choice.
  • Then, click on the date of the month.
  • You can also click on the angle brackets on the calendar [ ‘<’ or ‘>’ ] to go backward or forward.

(fig. 33.2d)

STEP 3: Click on the ‘filter’ box to select a particular bank branch. If you want to see the transactions for all branches, select bank branches. It is the first option on the filter list.

(Fig. 33.2e)

STEP 4: Click on the ‘entries’ box to change the number of transactions you want to see per page. (See the drop-box in fig. 33.2fbelow).

(Fig. 33.2f)

STEP 5: Tick the any of the checkbox as shown in fig 33.2g below to specify the transactions you want to view.

  • Select ‘Source Data Supplied by Me’ to see list of  Manager’s cheque transactions whose source data was supplied by you
  • Select ‘Report Schema Completed’ to see list of Manager’s cheque transactions whose report schema is complete
  • Select ‘Deleted Records’ to see list of Manager’s cheque transactions that have been deleted.

(Fig. 33.2g)

NOTE: Leave all checkboxes unchecked to see list of all Manager’s cheque transactions

STEP 6: Click ‘Search Transaction’ as shown in fig 33.2h

(Fig. 33.2h)

  • Clicking on the search transaction button will display a page as in Fig 33.2i below

(Fig. 33.2i)

  • Transactions with transaction ID coloured green shows that the schema for the transaction is complete.
  • Transactions with transaction ID coloured red shows that the schema for the transaction is incomplete.

How to carry Out Destination Account Operations on MANAGER’S CHEQUE transaction

  • Click on ‘Destination Acc.’ button on the Action column, this will display a drop down with option to ‘view’ and ‘Edit’  if the schema for the transaction is complete. However, if the schema is incomplete, the dropdown will have an option to ‘ADD’ new destination account. See an example in fig 33.2j and 33.2k below.

  (Fig. 33.2j)

                                                                                                                                    (Fig. 33.2k)

A.  How to View and Delete Destination Account Attach to a MANAGER’s CHEQUE Transaction

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ and ‘Screen Edit MGR CHQ transactions’ can delete destination account data .

  • Click on the ‘Destination Acc.’ Button on the action column as in fig 33.2l below. This will display a dropdown
  • On the destination Acc. Dropdown, click on ‘VIEW’ to see the destination account data for this transaction. As in fig 33.2l below

                                                                                                (Fig 33.2l)

  • This displays a console as in in fig 33.2m below.

(Fig. 33.2m)

  • Click on ‘Dismiss console’ to close the console or click ‘Delete’ to delete the destination account data. See fig 33.2n

(Fig. 33.2n)

  • Clicking on delete will display a confirmation console as in Fig 33.2o below. Click confirm to continue or cancel to dismiss the operation.

                                                                                                                                    (Fig. 33.2o)

  • A notification will be displayed at the top of the page when delete is successful. See Fig 33.2p below

(Fig. 33.2p)

B.  How to Edit Destination Account Data Attached to a MANAGER’s CHEQUE Transaction

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ and ‘Screen Edit MGR CHQ transactions’ can carry out these operations.

  • Click on the ‘Destination Acc.’ Button on the action column as in fig 33.2q below. This will display a dropdown.
  • On the destination Acc. Dropdown, click on ‘Edit’ to modify Destination account for this transaction. As in fig 33.2q below

                                                                                                (Fig 33.2q)

  • Clicking on ’Edit’ will display a console as in in fig 33.2r below.

(Fig. 33.2r)

  • Click on any of the textbox to edit the data as in fig 33.2s below

(Fig 33.2s)

  • Click on ‘Dismiss console’ to close the console or click ‘proceed’ to save the Destination account data. See fig 33.2t

(Fig. 33.2t)

  • Clicking on proceed will display a confirmation console as in Fig 33.2u below. Click on confirm to continue or cancel to dismiss the operation.

                                                                                                                                    (Fig. 33.2u)

  • A notification will be displayed at the top of the page when edited destination account data is saved successfully. See Fig 33.2v below

(Fig. 33.2v )

C.   How to Add ‘Destination Account’ Data to a MANAGER’s CHEQUE Transaction

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ and ‘Screen Edit MGR CHQ transactions’ can carry out these operations.

This Option is available when there is no Destination account data attached to the transaction

  • Click on the ‘Destination Acc.’ Button on the action column as in fig 33.2q below. This will display a dropdown .
  • On the Destination Acc. Dropdown, click on ‘add’ to add Destination account data to this transaction. This is shown in Fig 33.2w below

                                                (Fig  33.2w)

  • Clicking on ’add’ will display a console as in in fig 33.2x below.

(Fig. 33.2x)

  • Click on any of the textbox to fill that field as in in fig 33.2y below.

(Fig. 33.2y)

  • Click on Proceed to add the Destination account data or ‘dismiss console’ to dismiss the operation. See an example in Fig 33.2z below

(Fig. 33.2z)

  • Clicking on Proceed will display a confirmation console as in Fig 33.2aa below. Click on confirm to continue or cancel to dismiss the operation.

                                                                                                (Fig. 33.2aa)

  • A notification will be displayed at the top of the page when the destination account data is successfully added. See Fig 33.2ab below

(Fig. 33.2ab)

How to View MANAGER’s CHEQUE ‘Account details’ and ‘Transaction details’

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ can carry out these operations.

  • On the MANAGER’s CHEQUE Explorer page, click on ‘Details’ button on the Action column, this will display a drop down with option to ‘VIEW Transaction’ and ’View Account’. See an example in fig 33.2ac

                                                                                                                                    (Fig 33.2ac)

A.  How to View MANAGER’s CHEQUE ‘Transaction details’

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ can carry out these operations.

  • Click on ‘Details’ button on the Action column, this will display a drop down as in fig 33.2ad
  • Click on ‘view transaction’ on the dropdown to see the transaction details  as in fig 33.2ad below

                                                                                                                                          (Fig 33.2ad)

  • Clicking ‘View Transaction will display a console as in fig 33.2ae below

                                                                                                                                          (Fig 33.2ae)

  • Click dismiss console to close the console

B. How to view MANAGER’s CHEQUE ‘Account details’

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ can carry out these operations.

  • Click ‘Details’ button on the action column, this displays a drop down as in fig 33.2af
  • Click on ‘view Account’ on the ‘details dropdown’ as in fig 33.2af below to see the Account details

                                                                                                                                                (Fig 33.2af)

  • Clicking ‘View Account will display a console as in fig 33.2ag below

                                                                  (Fig 33.2ag)

  • Click dismiss console to close the console

How to carry out Bulk MANAGER’s CHEQUE transactions Operations

On the MANAGER’s CHEQUE explorer page you can make a bulk download of Manager’s cheque records either for viewing or editing purpose. The process is explained below

A.  How to View Bulk MANAGER’s CHEQUE Records

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ and ‘Download MGR CHQ transactions’ can carry out these operations.

STEP 1: Click on the download button on the MANAGER’s CHEQUE explorer page. See Fig 33.3a for       an example

(fig. 33.3a)

  • Clicking the download button will display a dropdown  as in fig. 33.3b below

(fig. 33.3b)

STEP 2: Click on the bulk view as shown in fig 33.3c below

(fig. 33.3c)

  • The signal console shows on going processes.  An example of a signal console is fig 33.3d. You can terminate unfinished processes by clicking ‘CANCEL OPS’.                                 
  • To minimize signal console, click on DISMISS CONSOLE.

(fig 33.3d)

  • An excel file with details of the Manager’s Cheque transactions will be downloaded when the process is complete.

B.  How to Edit Bulk MANAGER’s CHEQUE Records

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ and ‘Download MGR CHQ transactions’ can carry out these operations.

STEP 1: Click on the download button on the MANAGER’s CHEQUE Explorer page. See Fig 33.3e for an example

(fig. 33.3e)

  • Clicking the download button will display a dropdown  as in fig. 33.3f below

(fig. 33.3f)

STEP 2: Click on the bulk Edit as shown in fig 33.3g below

(fig. 33.3g)

  • The signal console shows on going processes.  An example of a signal console is fig 33.3d. You can terminate unfinished processes by clicking ‘CANCEL OPS’.                                 
  • To minimize signal console, click on DISMISS CONSOLE.

(fig 33.3h)

  • An excel file with details of the Manager’s Cheque transaction will be downloaded when the process is complete. The data on the downloaded excel file can be edited and uploaded on the software to update multiple Manager’s transaction details at once. However, the ‘Compliance tran Id’ for each record on the excel file must not be tampered with for the upload to be successful.

How to make Bulk Upload of Edited Manager’s Cheque Documents

On the MGR CHQ operations page you can make a bulk upload of Edited Manager’s Cheque Transaction records. The process is explained below

NOTE: Only person(s) with right to ‘view MGR CHQ transactions’ and ‘Bulk Edit MGR CHQ transactions’ can carry out these operations.

STEP 1: Click the ‘Upload’ button on the Manager’s cheque Operation page. See Fig 33.3i for an example

(fig. 33.3i)

  • Clicking the Upload button will display a dropdown  as in fig. 33.3j below

(Fig. 33.3j)

STEP 2: Click the bulk edited data as shown in fig 33.3j above, this will display a ‘Planet MGR CHQ             Bulk Edited Upload Console’ as in Fig33.3k below.

(fig. 33.3k)

STEP 3: Click on ‘Select Bulk Edited MGR CHQ Transaction file’ to choose the edited transaction file    you want to upload from your computer. See this in Fig 33.3l below

(fig. 33.3l)

  • The file name will be displayed on the console when upload is successful .See fig. 33.3mfor an example of how the console looks like when you successfully upload a file from your computer.
  •  

(Fig. 33.3m)

STEP 4: Click on ‘process’ button to proceed with the upload. See fig. 33.3n below to see the green button at the bottom-right corner of the console.

(Fig. 33.3n)

  • This displays a confirmation console as in fig. 33.3o below. Click ‘confirm’ to continue or ‘cancel’ to dismiss the operation.

(Fig. 33.3o)

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

How to View Service Manager History In Compliance Planet Anti Money Laundering/Core Banking Finance Software

This feature provides history of the service operations of each transaction type that make up Currency / Foreign Transaction Reports. Here is how to generate a service operation history for a transaction type for a period of time;

From the main dashboard, click  ‘UTILITY’.

  • This displays the ‘Utility’ home page. See      fig. 34.1b for an example of the home page.

(fig. 34.1b)

STEP 1: From the left hand side menu, click ‘Service Manager History’ as in fig. 34.1c or click on ‘Service Operations History’ on the home page.

(fig. 34.1c)

  • This displays the service operations history page as shown in fig. 34.1d below

(fig. 34.1d)

STEP 2: Select the transaction type which you want to view it’s service operations history from the ‘Tran Type’ box as shown in fig. 34.1ebelow. The default transaction type is NIP Inward.

(fig. 34.1e)

STEP 3: Select ‘Start Date’ to specify the starting date. This will display a calendar below the date box. See fig. 34.1f for an example.

(fig. 34.1f)

  • Take a look at the arrows labelled a to d in fig. 34.1g to study the calendar.
  • Click on the given year to change it to your year of choice.
  • Click on the given month to change it to your month of choice.
  • Then, click on the date of the month.
  • You can also click on the angle brackets on the calendar [ ‘<’ or ‘>’ ] to go backward or forward.

(fig. 34.1g)

STEP 4: Select ‘End Date’ to specify the end date. A calendar will be displayed below the date box. The calendar works the same way as in the start date setting. See fig. 34.1h for an example.

(fig. 34.1h)

STEP 5: Click on ‘View History’ as in fig. 34.1ito view the history of service operation for the selected transaction type.

(fig. 34.1i)

  • Clicking on ‘View History’, displays a list of service operations for the transaction type selected.

(fig. 34.1j)

  • At the bottom-right corner of the page, the software gives information about the number of pages, with the page numbers written out. Click on any page number to go to that particular page. Click on ‘NEXT’ to go to the next page and click on ‘PREVIOUS’ to go to the page before the current page.
  • Click on the ‘entries’ box to adjust the number of entries you want to see per page as in fig. 34.1k.

(fig. 34.1k)

  •  You can sort the entries to be seen from the latest to the earliest or vice-versa. Specify the order of the list by clicking on the ‘Sort History’ box as in fig. 34.1l below. The default view is from the latest to the earliest.

(fig. 34.1l)

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

How to Carry Out Security Settings In Compliance Planet Anti Money Laundering/Core Banking Finance Software

The Compliance Planet security menu deals with the management of the various users on the compliance planet software in a financial institution. This section provides a guide on how to perform operations pertaining to Security on the Compliance Planet software, with step-by-step instructions and pictures.

Security Operations

Operations here include creating a user, activating a user, deactivating a user and viewing the details of a user’s profile on the software. To perform any of these operations,

NOTE: Only person(s) profiled as deputy supreme Admin can carry out these operations.

  • Click  ‘Security’ on the main dashboard.
This image has an empty alt attribute; its file name is 38.0.jpg
  • This displays a page as in fig. 38.1b below.
This image has an empty alt attribute; its file name is 38.1b.jpg

(Fig 38.1b)

  • As seen in fig. 38.1a, there are two categories of users. They are; ‘Active’ users and ‘Inactive’ users.

How to Create A User

This involves creating a new user account and assigning roles to the user on the compliance planet software.Here is how to do this.

STEP 1: Click on ‘New Profile’ as in fig. 38.2a below.

This image has an empty alt attribute; its file name is 38.2a.jpg

(Fig 38.2a)

  • This displays a console as in fig. 38.2b.
This image has an empty alt attribute; its file name is 38.2b-1.jpg

(Fig 38.2b)

STEP 2: Enter ‘User Id’ as in fig. 38.2c.

This image has an empty alt attribute; its file name is 38.2c.jpg

(Fig 38.2c)

STEP 3: Select ‘User Branch’ of the user as in fig. 38.2d.

This image has an empty alt attribute; its file name is 38.2d.jpg

(Fig 38.2d)

STEP 4: Select the user’s designation i.e. Compliance team member and/or deputy supreme admin and/or Auditor checkbox. See fig. 38.2e for an example.

This image has an empty alt attribute; its file name is 38.2e.jpg

(Fig 38.2e)

STEP 5: Assign roles by clicking on role(s) segment as in fig. 38.2f to select roles or operations the user is authorized to carry under that segment.

This image has an empty alt attribute; its file name is 38.2f.jpg

(Fig 38.2f)

  • Roles relating to the operations/features under the selected segment will be displayed,select a role by clicking on its checkbox as seen in fig. 38.2g below.
This image has an empty alt attribute; its file name is 38.2g.jpg

(Fig 38.2g)

  • To select all the operations under a segment, click on ‘Select all … roles’ as shown in fig. 38.2h below.
This image has an empty alt attribute; its file name is 32.2h-1.jpg

(Fig 38.2h)

  • The user will be granted access to the sections and operations on the software which he/she is authorized. Roles can also be assigned after creating the user account.

STEP 6: Click on ‘Save New Profile’ as in fig. 38.2i to create new user account.

This image has an empty alt attribute; its file name is 38.2i.jpg

(Fig 38.2i)

  • This displays a confirmation console as fig. 38.2j.
This image has an empty alt attribute; its file name is 38.2j.jpg

(Fig 38.2j)

  • Click on ‘Confirm’ to proceed or ‘Cancel’ to discontinue.
  • A notification as in fig. 38.2k will be displayed at the top of the page when the operation is complete.
This image has an empty alt attribute; its file name is 38.2k.jpg

(Fig 38.2k)

How to Carry Out Active Users Operations

  • Click on either ‘Active Profiles’ on the left hand side menu as in fig. 38.3a or ‘Active Users’ on the home page as in fig. 38.3b to perform any operation pertaining to active users.
This image has an empty alt attribute; its file name is 38.3ab.jpg

 (Fig 38.3a)                                                                   (Fig 38.3b)

  • This displays an ‘active users’page as in fig38.3c. As seen below, each active user has four buttons; ‘Details’ button, ‘Deactivate’ button, ‘refresh User Authorization’ button and ‘Log Out User’ button. To close the page Click on the ‘DISMISS’ button.
This image has an empty alt attribute; its file name is 38.3c.jpg

(Fig 38.3c)

  • User accounts attached to a branch can be seen by selecting a branch of the institution as shown in fig. 38.3d below.
This image has an empty alt attribute; its file name is 38.3d.jpg

(Fig 38.3d)

How to set User’s Authorization

This refers to permitting a user to carry out operations on the software by assigning roles to the user. Here is how to set authorization for a user.

  • Click on the ‘Details’ button of the user as in fig. 38.3e to see user’s profile. Details of a user’s profile can be viewed, irrespective of their status i.e. active or inactive
This image has an empty alt attribute; its file name is 38.3e.jpg

(Fig 38.3e)

  • By clicking on a user’s details button, a console as in fig. 38.3f will be displayed.
This image has an empty alt attribute; its file name is 38.3f.jpg

(Fig 38.3f)

  • Here, on this console, a user’s branch can be set; see an example in fig 38.3g below
This image has an empty alt attribute; its file name is 38.3g.jpg

                                                                                                                                                (fig 38.3g)

  • Assign the user to a designation by ticking the designation checkbox. See an example in fig 38.3h below
This image has an empty alt attribute; its file name is 38.3h.jpg

                                                                                                                                                (fig 38.3h)

  • The User can be assigned right to carry out an operation. The console provides various roles with check boxes to permit or restrict the user. When the checkbox of a role is ticked, it means the user is permitted to carry out that role and when the checkbox is unticked, the user is restricted from that operation on the Compliance planet software. To select or deselect any role, click on the checkbox. Note that you can select all roles in a particular segment by clicking on the ‘Select all…. Roles’ as in fig. 38.3i below or select a particular role by clicking on that role.
This image has an empty alt attribute; its file name is 38.3i.jpg

(Fig 38.3i)

  • After making changes to the profile, you can export the information on the console as Pdf by clicking the ‘Export to PDF’ button see this button in Fig 38.3j below
This image has an empty alt attribute; its file name is 38.3j.jpg

(Fig 38.3j)

  •  When you click a the export to PDF button a notification will be displayed at the top of the page as in Fig 38.3k below
This image has an empty alt attribute; its file name is 38.3k.jpg

                                                                                                                                                                                       (Fig 38.3k)

  •  Click on ‘Save Changes’ as in fig. 38.3l to save the changes.
This image has an empty alt attribute; its file name is 38.3l.jpg

(Fig 38.3l)

  • This will display a confirmation console as in fig. 38.3m.
This image has an empty alt attribute; its file name is 38.3m.jpg

(Fig 38.3m)

  • Click on ‘Confirm’ to proceed or ‘Cancel’ to discontinue.
  • A notification as in fig. 38.3n will be displayed at the top of the page when the operation is complete.
This image has an empty alt attribute; its file name is 38.3n.jpg

(Fig 38.3n)

  • After saving changes, ‘click on Refresh User Authorization settings’ as shown below for the changes to take effect in real time on the user’s account. See an example in fig 38.3o
This image has an empty alt attribute; its file name is 38.3o.jpg

                                                                                                                                                            (fig 38.3o)

How to Deactivate A User

This refers to disabling an active account on the compliance planet. Here is how to deactivate an account.

  • Click on ‘Active Profiles’ on the left hand side menu as in fig. 38.3p or ‘Active Users’ on the home page as in fig. 38.3q.
This image has an empty alt attribute; its file name is 38.3pq.jpg

 (Fig 38.3p)                                                                  (Fig 38.3q)

  • This displays a list of active users as in fig 38.3r below.
  • Click ‘Deactivate’ on the action column as in fig. 38.3r to disable a user account. Note that the user profile will be removed from the list of active profiles.
This image has an empty alt attribute; its file name is 38.3r.jpg

(Fig 38.3r)

  • This displays a confirmation console as fig. 38.3s.
This image has an empty alt attribute; its file name is 38.3s.jpg

(Fig 38.3s)

  • Click on ‘Confirm’ to proceed or ‘Cancel’ to discontinue.
  • A notification as in fig. 38.3t will be displayed at the top of the page when the operation is complete and the user’s profile will be moved to inactive profiles.
This image has an empty alt attribute; its file name is 38.3t.jpg

(Fig 38.3t)

How to Log a user Out

  • click ‘Log Out User’ as in fig. 38.3u to log out a user account on the compliance planet software.
This image has an empty alt attribute; its file name is 38.3u.jpg

(Fig 38.3u)

  • A notification as in fig. 38.3v will be displayed at the top of the page when the operation is complete.
This image has an empty alt attribute; its file name is 38.3v.jpg

(Fig 38.3v)

Inactive Users Operations

  • Click ‘Inactive Profiles’ on the left hand side menu as in fig. 38.4a or ‘Inactive Users’ on the home page as in fig. 38.4b to perform operations pertaining to inactive users.
This image has an empty alt attribute; its file name is 38.4ab.jpg

(Fig 38.4a)                                                                                             (Fig 38.4b)

  • This displays a page as in fig. 38.4c. Each inactive user profile has two buttons; ‘Details’ button and ‘Activate’ button. To close the page and return to the home page click the ‘DISMISS’ button at the top of the page.
This image has an empty alt attribute; its file name is 38.4c.jpg

(Fig 38.4c)

How to Activate A User

  • Click on the ‘Activate’ as in fig. 38.4d to activate a user account on the software.
This image has an empty alt attribute; its file name is 38.4d.jpg

(Fig 38.4d)

  • This displays a confirmation console as in fig. 38.4e.
This image has an empty alt attribute; its file name is 38.4e.jpg

(Fig 38.4e)

  • Click on ‘Confirm’ to proceed or ‘Cancel’ to discontinue.
  • When the operation is complete, a notification as in fig. 38.4f will be displayed at the top of the page and the user profile will be moved to active profile list.
This image has an empty alt attribute; its file name is 38.4f.jpg

(Fig 38.4f)

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

How to Carry Out File Dock Operations In Compliance Planet Anti Money Laundering/Core Banking Finance Software

Using this feature, files previously generated on the Compliance planet can be uploaded, viewed, downloaded, deleted and shared with others. Only files you personally processed will be available in your file dock. To save your files to the file dock whenever they are generated, enable File Dock settings in your Personal settings. If your file dock setting is dis-enabled, files will not be saved to your file dock.

This section provides a guide on how to perform operations pertaining to the File Dock on the Compliance Planet software, with step-by-step instructions and pictures.

File Dock Operations

File operations includes viewing files, downloading files, uploading files from your computer, deleting files and sharing files saved to file dock with others.

  • To perform any of the operations, click ‘FILE DOCK’ on the main dashboard

  • This displays a page as in fig. 37.1a.

(Fig 37.1a)

How to view Files in the File Dock

This refers to viewing files for a specified period of time. Here is how to do this.

  • Select ‘START DATE’ to specify the start date. A calendar will drop below the date box as in fig. 37.2a.

(Fig 37.2a)

Take a look at the arrows labelled a to d in fig. 37.2b to study the calendar.

  1. Click on the given year to change it to your year of choice.
  2. Click on the given month to change it to your month of choice.
  3. Then, click on the date of the month.
  4. You can also click on the angle brackets on the calendar [ ‘<’ or ‘>’ ] to go backward or forward.

(Fig 37.2b)

  • Click ‘END DATE’ as in fig. 37.2c to specify the end date. The calendar works the same way as in the start date.

(Fig 37.2c)

  • Click on ‘VIEW FILES’ as in fig. 28.2d below.

(Fig 37.2d)

  • Files generated between the specified periods will be displayed as shown in fig. 37.2e below.

(Fig 37.2e)

  • From fig. 37.2e seen above, each file entry on the file dock page has a download button to download the file. Also, there is a ‘Transfer Files’ button and ‘Delete Files’ button on the page.
  • At the bottom-right corner of the page, the planet provides information about the number of pages. Click any page number to go to that particular page. Click on ‘NEXT’ to go to the next page and click on ‘PREVIOUS’ to go to the page before the current page.
  •  Click on the ‘entries’ box as in fig. 37.2f to change the number of file entries you want to see per page.

(fig. 37.2f)

  • Search for a file by typing a search term in the ‘Search’ box. The result will be displayed in real time. See fig. 37.2g for an example of a search.

(fig. 37.2g)

 

How to Download Files on File Dock

This refers to downloading files saved to your file dock. To do this, click on the ‘Download’ button as in fig. 37.3a.

(Fig 37.3a)

  • File will be downloaded immediately and the number of downloads reported for that file will increase.

How to Upload Files on File Dock

This refers to uploading files to the file dock. Here is how to do this.

  • Click on ‘Upload Files’ as in fig. 37.4a below.

(Fig 37.4a)

  • This displays the computer’s file explorer for you to select the generated file to be uploaded.
  • After selecting the file(s), a confirmation console as fig. 37.4b will be displayed on your screen
  • Click on ‘Confirm’ to proceed or ‘Cancel’ to discontinue.

    (Fig 37.4b)

  • A notification as in fig. 28.4c will be displayed at the top of the page.

(Fig 37.4c)

 

How to Delete Files On File Dock

Here is how to do this.

  • Tick the checkbox ◻ of the file(s) to be deleted. To deselect a file, untick the checkbox. See fig. 37.5a for an example.

(Fig 37.5a)

  • To select/deselect all the files on a page at once, click on the checkbox on the title bar of the table as in fig. 37.5b

(Fig 37.5b)

  • Click on ‘Delete Files’ at the top of the page as in fig. 37.5c to delete the selected files.

       (Fig. 37.5c)

  • This displays a confirmation console as in fig. 37.5d.
  • Click on ‘Confirm’ to proceed or ‘Cancel’ to discontinue.

  (Fig. 37.5d)

  • A notification as in fig. 37.5e will be displayed at the top of the page.

(Fig 37.5e)

How to Transfer Files On File Dock

This refers to sharing files with other users. Here is how to do this;

  • Click on checkbox to tick/untick the checkbox ◻ of the file(s) to be transferred. See fig. 37.6a for an example.

(Fig 37.6a)

  • To select/deselect all the files on a page at once, click on the checkbox on the title bar as in fig. 37.6b

(Fig 37.6b)

  • Enter the email address of the recipient(s) of the transfer as in fig. 37.6c below.

(Fig 37.6c)

  • Click on ‘Transfer Files’  as in fig. 37.6d.

                         (Fig 37.6d)

  • This displays a confirmation console as in fig. 37.6e.
  • Click on ‘Confirm’ to proceed or ‘Cancel’ to discontinue.

         (Fig. 37.6e)

  • A notification as in fig. 37.6f will be displayed at the top of the page.

(Fig 37.6f)

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

How to Schedule Artificial Intelligent Service Operations In Compliance Planet Anti Money Laundering/Core Banking Finance Software

This feature allows service operations for various transaction types to be scheduled for any hour of the day.  Here is how to access the service operation schedule manager;

NOTE: Only person(s) profiled as Deputy Supreme Admin can carry out this operation

STEP 1:  From the main dashboard, click  ‘UTILITY’.

This image has an empty alt attribute; its file name is 31.0a-5.jpg
  • This displays the ‘Utility’ home page. As in fig 34.3b below

STEP 2: Click on ‘Service Mgr Schedule’ on the left hand side menu as in fig. 34.3b or click on ‘Service Operations Schedule’ on the home page.

This image has an empty alt attribute; its file name is 34.3a.jpg

(fig. 34.3b)

  • This displays the ‘service operations schedule’ page as shown in fig. 34.3c.
This image has an empty alt attribute; its file name is 34.3b.jpg

(fig. 34.3c)

STEP 2: Click the ‘Service’ box  to select the transaction type you want to view  it’s schedule of service operations as shown in     fig. 34.3d below.

This image has an empty alt attribute; its file name is 34.3c.jpg

(fig. 34.3d)

  • The selected service time schedule will be displayed immediately. See fig. 34.3e for an example.
This image has an empty alt attribute; its file name is 34.3d.jpg

(fig. 34.3e)

  • You can schedule a service operation for any time of the day by marking the time checkbox. Click on the checkbox to select or deselect a time of the day. By selecting or deselecting any time schedule, the software will display a notification at the top of the page. See fig. 34.3f and fig. 34.3g to see examples of notifications in the case of selecting and deselecting a time of the day respectively.
This image has an empty alt attribute; its file name is 34.3e.jpg

(fig. 34.3f)

This image has an empty alt attribute; its file name is 34.3f.jpg

(fig. 34.3g)

  • You can also restore the selected service operation schedule to factory default settings by clicking on ‘Restore Selected Service Schedule To Factory Default’.
This image has an empty alt attribute; its file name is 34.3g.jpg

(fig. 34.3h)

  • To restore all services operation schedule to factory default settings, click on ‘Restore All Services Schedule To Factory Default’ as in fig. 34.3i below.
This image has an empty alt attribute; its file name is 34.3h.jpg

(fig. 34.3i)

  • A confirmation console will be displayed as in fig. 34.3j to confirm your request. Click on ‘Confirm’ to proceed or ‘Cancel’ to discontinue.
This image has an empty alt attribute; its file name is 34.3i.jpg

(fig. 34.3j)

  • A notification will be displayed at the top of the page when the restore is successful.

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

How to View and Delete Notification Prompt In Compliance Planet Anti Money Laundering/Core Banking Finance Software

This feature houses notifications generated by the Compliance planet software when a report is processed successfully. These notifications are also sent to the mail of the user. This section provides a guide on how to perform operations pertaining to notifications on the Compliance Planet software, with step-by-step instructions and pictures.

Notification Operations

Operations here include viewing and deleting notifications. Here is how to make use of the features.

  •  From the main dashboard, click ‘UTILITY’.
This image has an empty alt attribute; its file name is 31.0a-6.jpg
  • This will display the ‘Utility’ home page. See fig. 35.1b below for an example of the home page.
This image has an empty alt attribute; its file name is 35.1a.jpg

(fig. 35.1b)

  • Click on ‘Notification’ on the left hand side menu as in fig. 35.1c or click ‘Notifications’ on Utility home page.
This image has an empty alt attribute; its file name is 35.1b.jpg

(fig. 35.1c)

  • This will display the notifications page. See fig. 35.1d for an example of the page.
This image has an empty alt attribute; its file name is 35.1c.jpg

(fig. 35.1d)

  • Click on the ‘entries’ box as in fig. 35.1e to adjust the number of notifications you want to see per page.
This image has an empty alt attribute; its file name is 35.1e.jpg

           (fig. 35.1e)

  • You can sort the notifications to be seen from the latest notification (oldest notification) to the earliest notification (newest notifications) or vice-versa. Specify the order of the list by clicking on the ‘Sort’ box as in fig. 35.1f. The default view is from the latest to the earliest.
This image has an empty alt attribute; its file name is 35.1f.jpg

  (fig. 35.1f)

  • Select the notifications to be displayed by clicking the ‘View’ box as in fig. 35.1g. The categories of notifications available are; Unread notification, Read notification, Deleted notification and All notifications. The Unread category is the default view on landing on the page.
This image has an empty alt attribute; its file name is 35.1g.jpg

             (fig. 35.1g)

  • After selecting the category you want to see, click on ‘View Notification’ as in fig. 35.1h.
This image has an empty alt attribute; its file name is 35.1h.jpg

(fig. 35.1h)

  • Search for a notification or a set of notifications by typing a search term in the ‘Search’ box. Search results are displayed in real time. See fig. 35.1i for an example of a search.
This image has an empty alt attribute; its file name is 35.1i.jpg

(fig. 35.1i)

  • Each notification has a ‘Details’ button that shows details of the message conveyed by the notification. Click on ‘Details’ as in fig. 35.1j to see a notification message.
This image has an empty alt attribute; its file name is 35.1j.jpg

(fig. 35.1j)

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

Overview Of Utility In Compliance Planet Anti Money Laundering/Core Banking Finance Software

The utility menu houses the following features:

  1. SWIFT File Operations
  2. Planet Service Manager
  3. Planet Notifications
  4. Data Migration

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

How To Carry Out LCBC Operations In Compliance Planet Anti Money Laundering/Core Banking Finance Software

This section provides a guide on how to perform operations pertaining to letter of Credit Bill for Collection (LCBC), with step-by-step instructions and pictures. See section 2.1.14 for notes on LCBC.

Note: Only person(s) assigned right to ‘view LCBC transactions’ will be able to carry out this operation(s)

  • From the main dashboard, click ‘Utility’ as in fig 32.0a below
  • Click on ‘LCBC Operations’ on the on the left hand side menu as in fig. 32.0b.

(fig. 32.0b)

  • This will display a LCBC operations page as in fig. 32.0c below

(fig. 32.0c)

How to View LCBC Transaction Records

Note: Only person(s) assigned right to ‘view LCBC transactions’ will be able to carry out this operation(s)

STEP1: Click on ‘LCBC Explorer’ button on the LCBC Operation page. See Fig 32.2a for an example

(Fig. 32.2a)

  • Clicking on the ‘LCBC Explorer’ button will display a ‘LCBC Explorer’ console as in Fig 32.2b below

(Fig. 32.2b)

STEP 2: Click on SET START DATE and SET END DATE to specify the date range to be covered. See an example in Fig 32.2c below

(fig. 32.2c)

  • Take a look at the arrows labelled a to d in fig. 32.2d to study the calendar.
  • Click on the given year to change it to your year of choice.
  • Click on the given month to change it to your month of choice.
  • Then, click on the date of the month.
  • You can also click on the angle brackets on the calendar [ ‘<’ or ‘>’ ] to go backward or forward.

(fig. 32.2d)

STEP 3: Click on the ‘filter’ box to select a bank branch. (See the example in fig. 32.2e). If you want to see the transactions for all branches, select bank branches. It is the first option on the filter list.

(Fig. 32.2e)

STEP 4: Click ‘entries’ box to change the number of transactions you want to see per page. (See the drop-box in fig. 32.2f. below).

(Fig. 32.2f)

STEP 5: Tick the any of the checkbox as shown in fig 32.2g to further specify the transactions you want to view

  • Select ‘Source Data Supplied by Me’ to see list of  LCBC transactions whose source data was supplied by you
  • Select ‘Report Schema Completed’ to see list of LCBC transactions whose report data is complete
  • Select ‘Deleted Records’ to see list of LCBC transactions that have been deleted.

(Fig. 32.2g)

NOTE: Leave all checkboxes unchecked to see list of all LCBC transactions

STEP 6: Click ‘Search Transaction’ as shown in fig 32.2h

(Fig. 32.2h)

  • This will display a page as in Fig 32.2i below

(Fig. 32.2i)

  • Transactions with transaction ID coloured green signify that the schema for the transaction is complete.
  • Transactions with transaction ID coloured red signify that the schema for the transaction is incomplete.

How to Carry Out Destination Account Operations on LCBC transaction

  • Click on ‘Destination Acc.’ button on the Action column, this will display a drop down with option to ‘view’ and ‘Edit’  if the schema for the transaction is complete. However, if the schema is incomplete, the dropdown will have an option to ‘ADD’ new destination account. See an example in fig 32.2j and 32.2k below.

  (Fig. 32.2j)

                                                                                                                                    (Fig. 32.2k)

A.  How to View and Delete ‘Destination Account’ Data Attached to An LCBC Transaction

This option is available if a Destination account has been added to the LCBC transaction.

Note: You need to be assigned right to ‘view LCBC transactions’ and ‘Screen Edit LCBC transactions’ to be able to delete attached destination account data.

  • Click ‘Destination Acc.’ Button on the action column, this will display a dropdown as in fig 32.1l below.
  • On the destination Acc. Dropdown, click on ‘VIEW’ to see the destination account details for this transaction. See this in fig 32.2l

(Fig. 32.2l)

  • This will display a ‘LCBC DESTINATION DATA’ console as in in fig 32.2m below.

(Fig. 32.2m)

  • Click on ‘Dismiss console’ to close the console or click ‘Delete’ to delete the destination account data. See fig 32.2n

(Fig. 32.2n)

  • Clicking delete will display a confirmation console as in Fig 32.2o below. Click ‘confirm’ to continue or ‘cancel’ to dismiss the operation.

                                                                                                                                    (Fig. 32.2o)

  • A notification will be displayed at the top of the page when delete is successful. See Fig 32.2p below

(Fig. 32.2p)

B.  How to Edit ‘Destination Account’ Data Attached to a LCBC Transaction

This option is available only if there is a ‘destination account’ data attached to the LCBC transaction

Note: You need to be assigned right to ‘view LCBC transactions’ and ‘Screen Edit LCBC transactions’ to be able to Edit attached destination account data.

  • Click ‘Destination Acc.’ Button on the action column, this will display a dropdown as in fig 32.2q below.
  • Click on ‘Edit’ to modify Destination account for this transaction.as in fig 32.2q below

(Fig. 32.2q)

  • Clicking on ’Edit’ will display a console as in in fig 32.2r below.

(Fig. 32.2r)

  • Click on any of the textboxes to edit the data as in fig 32.2s below

(Fig 32.2s)

  • Click on ‘Dismiss console’ to close the console or click ‘proceed’ to save the data. See fig 32.2t

(Fig. 32.2t)

  • This displays a confirmation console as in Fig 32.2u below.
  • Click ‘confirm’ to continue or ‘cancel’ to dismiss the operation.

                                                                                                                                    (Fig. 32.2u)

  • A notification will be displayed at the top of the page when edited destination account data is saved successfully. See Fig 32.2v below

(Fig. 32.2v)

C.   How to Add ‘Destination Account’ to a LCBC Transaction

This Option is available when there is no Destination account data attached to the transaction

Note: You need to be assigned right to ‘view LCBC transactions’ and ‘Screen Edit LCBC transactions’ to be able to add destination account data.

  • Click ‘Destination Acc.’ Button on the action column, this will display a dropdown as in fig 32.2w below.
  • On the Destination Acc. Dropdown, click on ‘add’ to add Destination account data to this transaction. This is shown in Fig 32.2w below

                                                                                                            (FIG 32.2w)

  • Clicking on ’add’ will display a console as in in fig 32.2y below.

(Fig. 32.2y)

  • Click on any of the textbox to fill that field as in in fig 32.2z below.

(Fig. 32.2z)

  • Click on ‘Proceed’ to add the Destination account data or ‘dismiss console’ to dismiss the operation. See an example in Fig 32.2aa below

(Fig. 32.2aa)

  • Clicking on Proceed will display a confirmation console as in Fig 32.2ab below. Click on confirm to continue or cancel to dismiss the operation.

                                                                                                (Fig. 32.2ab)

  • A notification will be displayed at the Top when the destination account data is successfully added. See Fig 32.2ac below

(Fig. 32.2ac)

How to View LCBC Transaction ‘Account details’ and ‘Transaction details’

  • click on ‘Details’ button on the Action column, this will display a drop down with option to ‘VIEW Transaction’ and ’View Account’. See an example in fig 32.2ad

(Fig. 32.2ad)

A.  How to View LCBC ‘Transaction details’

Note: You need to be assigned right to ‘view LCBC transactions’ to be able to carry out this operation

  • Click ‘Details.’ Button on the action column, this will display a dropdown as in fig 32.2ae.
  • Click on view transaction on the ‘Details’ dropdown’ as in fig 32.2ae below to see the Transaction details

(Fig. 32.2ae)

  • This displays a console as in fig 32.2af below

(Fig. 32.2af)

  • Click dismiss console to close the console

B. How to View LCBC Transaction ‘Account details’

Note: You need to be assigned right to ‘view LCBC transactions’ to be able to carry out this operation

  • Click ‘Details.’ Button on the action column, this will display a dropdown as in fig 32.2ag.
  • Click on ‘view Account’ on the ‘details dropdown’ as in fig 32.2ag below to see the Account details

(Fig. 32.2ag)

  • Clicking ‘View Account will display a console as in fig 32.2ah below

(Fig. 32.2ah)

  • Click dismiss console to close the console

How to carry out Bulk LCBC transactions Operations

On the LCBC explorer page you can make a bulk download of Letter of Credit Bill for Collection (LCBC) transaction records either for viewing or editing purpose. The process is explained below.

Note that the records downloaded for editing purpose can be edited and uploaded on the software to update the records. However,

A.  How to View Bulk LCBC Transactions Records

This feature downloads the LCBC Transaction records as an excel file.

Note: You need to be assigned right to ‘view LCBC transactions’ and ‘Download LCBC transactions’ to be able to carry out this operation

STEP 1: Click the ‘Download’ button on the LCBC Explorer page. See Fig 32.3a for       an example

(fig. 32.3a)

  • Clicking the download button will display a dropdown  as in fig. 32.3b below

(fig. 32.3b)

STEP 2: Click ‘bulk view’ as shown in fig 32.3c below

(fig. 32.3c)

  • The signal console shows on going processes.  An example of a signal console is fig 32.3d. You can terminate unfinished processes by clicking ‘CANCEL OPS’.                                 
  • To minimize signal console, click on DISMISS CONSOLE.

(fig 32.3d)

  • An excel file with data of the LCBC transactions will be downloaded when the process is complete.

B.  How to Edit Bulk LCBC Transaction Records

Note: You need to be assigned right to ‘view LCBC transactions’ and ‘Download LCBC transactions’ to be able to carry out this operation

STEP 1: Click on the download button on the LCBC Explorer page. See Fig 32.3f for an example

(fig. 32.3f)

  • Clicking the download button will display a dropdown  as in fig. 32.3g below

(fig. 32.3g)

STEP 2: Click on the bulk Edit as shown in fig 32.3h below

(fig. 32.3h)

  • The signal console shows on going processes.  An example of a signal console is fig 32.3i. You can terminate unfinished processes by clicking ‘CANCEL OPS’.                                 
  • To minimize signal console, click on DISMISS CONSOLE.

An excel file with details of the LCBC transaction will be downloaded when the process is complete. The details on the downloaded excel file can be edited and uploaded on the software to update multiple LCBC transaction details at once. However, the ‘Compliance tran Id’ for each record on the excel file must not be tampered with for the upload to be successful.

How to Make Bulk Upload of Edited LCBC Transaction Records

On the LCBC Operations page you can make bulk upload of Edited LCBC Transaction records. The process is explained below

Note: You need to be assigned right to ‘view LCBC transactions’ and ‘Edit bulk LCBC transactions’ to be able to carry out this operation

STEP 1: Click on the Upload button on the LCBC Operation page. See Fig 32.3i for an example

(fig. 32.3i)

  • Clicking the Upload button will display a dropdown  as in fig. 32.1b below

STEP 2: Click ‘bulk edited data’ on the dropdown as shown in fig 32.3j below

(Fig. 32.3j)

  • This will display a ‘Planet LCBC Bulk Edited Upload Console’ as in Fig32.3k below.

(fig. 32.3k)

STEP 3: Click on ‘Select Bulk Edited LCBC Transaction file’ to choose the edited transaction file you      want to upload from your computer. See this in Fig 32.3l below

(fig. 32.3l)

  • After successful upload of file, the file name will be displayed on the console. See fig. 32.3m to see an example.

(Fig. 32.3m)

STEP 4: Click on ‘process’ button to proceed with the upload. See fig. 32.1f below to see the green button at the bottom-right corner of the console.

(Fig. 32.3m)

  • This will display a confirmation console as in fig. 32.3n below. Click ‘Confirm’ to proceed with the upload or ‘Cancel’ to close the console.

(Fig. 32.3n)

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

How to Carry Out Swift FXFTI Operations In Compliance Planet Anti Money Laundering/Core Banking Finance Software

This section provides a guide on how to perform operations pertaining to swift, with step-by-step instructions and pictures.

  • From the main dashboard, click ‘UTILITY’ as in fig 31.0a below
  • This displays a page as in fig. 31.0b.

(fig. 31.0b)

  • Click on ‘Swift Operations’ on the left hand side menu as in fig. 31.0c.

(fig. 31.0c)

  • This will display a swift operations page as in fig. 31.0d below

(fig. 31.0d)

How to View SWIFT FXFTI Transaction

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ will be able to carry out this operation(s)

STEP1:  From the left hand side menu, Click on ‘Swift Operations’ as in fig. 31.2a.

(fig. 31.2a)

  • This displays a page as in Fig 31.2b below

STEP 2:  Click on ‘Doc Explorer’ button on the Swift Operation page. See Fig 31.2b for an example

(Fig. 31.2b)

  • Clicking on the ‘Doc Explorer’ button will display a ’SWIFT DOC FXFTI Explorer’ console as in Fig 31.2c below

(Fig. 31.2c)

STEP 3: Click on SET START DATE and SET END DATE to specify the period to be covered. See an example in Fig 31.2d below

(fig. 31.2d)

  • Take a look at the arrows labelled a to d in fig. 31.2e to study the calendar.
  • Click on the given year to change it to your year of choice.
  • Click on the given month to change it to your month of choice.
  • Then, click on the date of the month.
  • You can also click on the angle brackets on the calendar [ ‘<’ or ‘>’ ] to go backward or forward.

(fig. 31.2e)

STEP 4: Click on the filter box to select a particular bank branch. (See the example in fig. 31.2f). If you want to see the transactions for all branches, select bank branches. It is the first option on the filter list.

(Fig. 31.2f)

STEP 5: Click the ‘entries’ box to change the number of transactions you want to see per page. (See the drop-box in fig. 31.2g. below)

(Fig. 31.2g)

STEP 6: Tick any of the checkbox as shown in fig 31.2h to specify the transactions you want to view

  • Select ‘Source Data Supplied by Me’ to see list of  SWIFT FXFT transactions whose source data was supplied by you
  • Select ‘Report Schema Completed’ to see list of SWIFT FXFT transactions with a complete schema
  • Select ‘Deleted Records’ to see list of SWIFT FXFT transactions that have been deleted.

NOTE: Leave all checkboxes unchecked to see list of all SWIFT FXFT transactions

(Fig. 31.2h)

STEP 7: Click ‘Search Transaction’ as shown in fig 31.2i

(Fig. 31.2i)

  • Clicking on the search transaction button will display a page as in Fig 31.2j below

(Fig. 31.2j)

  • Transactions with transaction ID coloured green signify that the schema for the transaction is complete.
  • Transactions with transaction ID coloured red signify that the schema for the transaction is incomplete.

How to carry out CCI Operations on SWIFT FXFTI transaction

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ will be able to carry out this operation(s)

  • On the Doc explorer page Click on ‘CCI’ button on the Action column, this will display a drop down with option to ‘view’ and ‘Edit’ cci if the schema for the transaction is complete. However, if the schema is incomplete, the dropdown will have an option to ‘ADD’ new CCI. See examples in fig 31.2k and 31.2l below.
  • See section 18.1 for notes on certificate of capital importation (CCI)

  (Fig. 31.2k)

                                                                                                                                    (Fig. 31.2l)

A.  How to View and Delete CCI Attached to a SWIFT FXFTI Transaction

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ and ‘Screen Edit SWIFT DOM transactions’ will be able to delete attached CCI data

This option will be available if a Certificate of Capital Importation (CCI) has been added to the schema.

  • Click on ‘VIEW’ as in fig 31.2m to see the CCI attached to this transaction.

                                                                                                                                                (Fig 31.2m)

  • Clicking on ’View’ will display a console as in in fig 31.2n below.

(Fig. 31.2n)

  • Click on ‘Dismiss console’ to close the console or click ‘Delete’ to delete the data. See fig 31.2o for an example

(Fig. 31.2o)

  • Clicking on delete will display a confirmation console as in Fig 31.2p below. Click ‘confirm’ to continue or ‘cancel’ to dismiss the operation.

                                                                                                                                    (Fig. 31.2p)

  • A notification will be displayed at the top when delete is successful as in Fig 31.2q below

(Fig. 31.2q)

B.  How to Edit CCI Attached to a SWIFT FXFTI Transaction

This option is will be available if a cci has been added to the Swift FXFTI transaction.

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ and ‘Screen Edit SWIFT DOM transactions’ will be able to Edit attached CCI data

  • Click on ‘Edit’ to modify CCI for this transaction as in fig 31.2r below

                                                                                                                        (Fig 31.2r)

  • Clicking on ’Edit’ will display a console as in in fig 31.2s below.

(Fig. 31.2s)

  • Click the NEW CCI textbox to  input the new CCI as in fig 31.2t below

                                    (Fig 31.2t)

  • Click on ‘Dismiss console’ to close the console or click ‘proceed’ to save the new cci. See fig 31.2u

(Fig. 31.2u)

  • Clicking on proceed will display an inquiry console as in Fig 30.5v below. Click on confirm to continue or cancel to dismiss the operation.

                                                                                                                                    (Fig. 31.2v)

  • A notification will be displayed at the top of the page when new CCI is saved successfully. See Fig 31.2w below

(Fig. 31.2w)

C.   How to Add CCI to a SWIFT FXFTI Transaction

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ and ‘Screen Edit SWIFT DOM transactions’ will be able to add CCI to a SWIFT FXFTI transaction

  • Click the CCI button on the action column his display a drop down as in fig 31.2x.
  • Click ‘Add’ on the dropdown, this is shown in Fig 31.2x below

                                                                                                                        (Fig 31.2x)

  • Clicking on ’add’ will display a console as in in fig 31.2ybelow.

(Fig. 31.2y)

  • Click on New CCI textbox to input new CCI as in in fig 31.2z below.

(Fig. 31.2z)

  • Click on Proceed to add the new cci or ‘dismiss console’ to dismiss the operation. See an example in Fig 31.2aa below

(Fig. 31.2aa)

  • Clicking on Proceed will display a confirmation console as in Fig 31.2ab below. Click on confirm to continue or cancel to dismiss the operation.

                                                                                                     (Fig. 31.2ab)

  • A notification will be displayed at the Top when cci is successfully added. See Fig.31.2ac below.

(Fig. 31.2ac)

How To Carry Out  Source Account Operations on Swift FXFTI Transaction

  • Click on ‘Source Acc.’ button on the action column, this will display a drop down with option to ‘view’ and ‘Edit’ Source account if the data has been added. However, if the source account data has not been added, the dropdown will have an option to ‘ADD’ source account. See an example in fig 31.2ad and 31.2ae below.

  (Fig. 31.2ad)

                                                                                                                                    (Fig. 31.2ae)

A. How to view and delete Source Account data attached to a Swift FXFTI Transaction

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ and ‘Screen Edit SWIFT DOM transactions’ will be able to delete Source Account data

  • Click on ‘Source Acc’ button on the Action column, this will display a drop down with option to ‘VIEW’ source account details and ’Edit’ source account details. See an example in fig 31.2af below.

     (Fig. 31.2af)

  • Click on ‘VIEW’ to see source account details as in fig 31.2ag below

                                                                                                                                    (Fig 31.2ag)

  • Clicking on ’View’ will display a console as in in fig 31.2a hbelow.

(Fig. 31.2ah)

  • Click on ‘Dismiss’ to close the console or click ‘Delete’ to delete the source data. See fig 31.2ai

(Fig. 31.2ai)

  • Clicking on delete will display a confirmation console as in Fig 31.2aj below. Click on confirm to continue or cancel to dismiss the operation.

                                                                                                                                    (Fig. 31.2aj)

  • A notification will be displayed at the top of the page when delete is successful. See Fig 31.2ak below

(Fig. 31.2ak)

B. How to edit Account Source data attached to a Swift FXFTI Transaction

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ and ‘Screen Edit SWIFT DOM transactions’ will be able to Edit Source Account data

  • Click ‘Source account’, this will display a dropdown as in fig 31.2al
  • On the Source account dropdown, click on ‘EDIT’ to modify source account details. See this in Fig 31.2al below

(Fig 31.2al)

  • Clicking on ’Edit’ will display a console as in in fig 31.2am below.

(Fig. 31.2am)

  • Click on ‘Dismiss console’ to close the console or click ‘proceed’ to save the source data. See fig 31.2an

(Fig. 31.2an)

  • Clicking on proceed will display a confirmation console as in Fig 31.2ao below. Click on confirm to continue or cancel to dismiss the operation.

                                                                                                                                    (Fig. 31.2ao)

  • A notification will be displayed at the top of the page when edit  is saved successfully. See Fig 31.2ap below

(Fig. 31.2ap)

C.   How to add ‘Source account’ data to a SWIFT FXFTI Transaction

This Option is available for SWIFT FXFTI transactions with no source account data.

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ and ‘Screen Edit SWIFT DOM transactions’ will be able to add Source Account data

  • Click ‘Source account’ on the ‘Action’ column, this will display a dropdown as in fig 31.2aq
  • Click on ‘add’ on the source account dropdownto add source account data to this transaction. This is shown in Fig 31.2aq below

                                                                                                                        (Fig 31.2aq)

  • Clicking on ’add’ will display a console as in in fig 31.2ar below.

(Fig. 31.2ar)

  • Click on any of the source account data textbox to fill the field as in in fig 31.2as below.

(Fig. 31.2as)

  • Click on Proceed to add the source account data or ‘dismiss console’ to dismiss the operation. See an example in Fig 31.2at below

(Fig. 31.2at)

  • Clicking on Proceed will display a confirmation console as in Fig 31.2au below. Click on confirm to continue or cancel to dismiss the operation.

                                                                                            (Fig. 31.2au)

  • A notification will be displayed at the Top when Source account data is successfully added. See Fig. 31.2av below.

(Fig. 31.2av)

Viewing Swift FXFTI Transaction ‘Account details’ and ‘Transaction details’

Note: You need to be assigned right to ‘view SWIFT DOM transactions’ to carry out this operations

  • Click on ‘Details’ button on the Action column, this will display a drop down with option to ‘VIEW Transaction’ and ’View Account’. See an example in fig 31.2aw

                                                                                                            (Fig 31.2aw)

A.  How to View Swift FXFTI  ‘Transaction details’

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ will be able to carry out this operation(s)

  • Click ‘details’, this will display a dropdown with options to ‘view transaction’ and ‘view account’
  • Click on view transaction as in fig 31.2ax below to see the details of the transaction

(Fig 31.2ax)

  • Clicking ‘View Transaction will display a console as in fig 31.2ay below

(Fig 31.2ay)

  • Click dismiss console to close the console

B. How to View Swift FXFTI Transaction ‘Account details’

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ will be able to carry out this operation(s)

  • Click ‘details’, this will display a dropdown with options to ‘view transaction’ and ‘view account’.
  • Click on view Account as in fig 31.2az below to see the details of the transaction

(Fig 31.2az)

  • Clicking ‘View Account will display a console as in fig 31.2ba below

(Fig 31.2ba)

  • Click dismiss console to close the console

How to View Swift FXFTI Transaction ‘Swift message’

Note: You need to be assigned right to ‘view SWIFT DOM transactions’ to carry out this operations

  • Click on ‘Swift Msg.’ button on the Action column, this will display a drop down with option to ‘VIEW’ Swift message for the transaction. See an example in fig 31.2bb below.

     (Fig. 31.2bb)

  • Click on ‘VIEW’ to see the swift message for the transaction.as in 31.2bc below

(Fig. 31.2bc)

  • Clicking on ’View’ will display a console as in in fig 31.2bd below.

(Fig. 31.2bd)

  • Click on ‘Dismiss’ to close the console

How to Carry Out bulk Swift FXFTI transaction Operations

On the SWIFT FXFTI transaction list page you can make a bulk download of Foreign Exchange Foreign Transactions (FXFT) files either for viewing or editing purpose. The process is explained below

A.  How to carry out bulk view of Swift FXFTI transactions

Note: You need to be assigned right to’view SWIFT DOM transactions’ and ‘Download SWIFT DOM transactions’ to carry out this operations

STEP 1: Click on the download button on the SWIFT FXFTI transaction list page. See Fig 31.3a  for an example

(fig. 31.3a)

  • Clicking the download button will display a dropdown  as in fig. 31.3b below

(fig. 31.3b)

STEP 2: Click on the bulk view as shown in fig 31.3c below

(fig. 31.3c)

  • The signal console shows on going processes.  An example of a signal console is fig 31.3d. You can terminate unfinished processes by clicking ‘CANCEL OPS’.                                 
  • To minimize signal console, click on DISMISS CONSOLE.

(fig 31.3d)

➔   An excel file with details of the SWIFT FXFT transaction will be downloaded when the process is complete.

B.  How to carry out bulk edit of Swift FXFTI transactions

Note: You need to be assigned right to ‘view SWIFT DOM transactions’ and ‘Download SWIFT DOM transactions’ to carry out this operations

STEP 1: Click on the download button on the SWIFT FXFTI transaction page. See Fig 31.3e       for an example

(fig. 31.3e)

  • Clicking the download button will display a dropdown  as in fig. 31.3f below

(fig. 31.3f)

STEP 2: Click on the bulk Edit as shown in fig 31.3g below

(fig. 31.3g)

  • The signal console shows on going processes.  An example of a signal console is fig 31.3h. You can terminate unfinished processes by clicking ‘CANCEL OPS’.                                 
  • To minimize signal console, click on DISMISS CONSOLE.

(fig 31.3h)

➔   An excel file with details of the SWIFT FXFT transaction will be downloaded when the process is complete. The data on the file when edited can be uploaded to update that record on the software using the bulk upload feature.

Note that the headings in the excel file must not be tampered with.

How to Carry out Bulk Upload of Edited Swift Documents

On the Swift Operations page you can make a bulk upload of Edited Swift Foreign Exchange Foreign Transactions (FXFT) files. The process is described below

Note: You need to be assigned right to ‘view SWIFT DOM transactions’ and ‘Bulk Edit SWIFT DOM transactions’ to carry out this operations

STEP 1: Click on the Upload button on the Swift Operation page. See Fig 31.3i for an example

(fig. 31.3i)

  • Clicking the Upload button will display a dropdown  as in fig. 31.3j below

STEP 2: Click the bulk edited data as shown in fig 31.3j below

(fig. 31.3j)

  • This displays a ‘Planet FXFTI Bulk Edited Upload Console’ as in Fig31.3k below.

(fig. 31.3k)

STEP 3: Click on ‘Select Bulk Edited FXFTI Transaction file’ to choose the edited transaction file you want to upload from your computer. See this in Fig 31.3l below

(fig. 31.3l)

  • After successful upload of file, the console will display the title of the file, that is, the file name. See fig. 31.1e to see an example of how the console looks like when you successfully upload a file from your computer.

(Fig. 31.3m)

STEP 4: Click on ‘process’ button to proceed with the upload. See fig31.1fbelow to see the green button at the bottom-right corner of the console.

(Fig. 31.3m)

  • This displays a confirmation console as in fig. 31.1g below. Click ‘Confirm’ to continue or  ‘Cancel’ to close the console.

(Fig. 31.3n)

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com

How To Carry Out SWIFT Message Operations In Compliance Planet Anti Money Laundering/Core Banking Finance Software

The SWIFT dashboard provides information on the number of archived messages, the number of unprocessed messages and the number of SWIFT files processed by the software on the server. Also, SWIFT messages can be translated here on this page.

Note: Only person(s) assigned right to ‘view SWIFT DOM transactions’ will be able to carry out this operation(s)

To access the Compliance Planet’s SWIFT dashboard;

  •  From the main dashboard, click ‘UTILITY’ as in fig. 30.3a below
This image has an empty alt attribute; its file name is 30.3a.jpg

(fig. 30.3a)

  • This displays the ‘Utility’ home page. See fig.30.3b for an example of the home page.
This image has an empty alt attribute; its file name is 30.3b.jpg

(fig. 30.3b)

  • Click on ‘Swift Dashboard’ on the left hand side menu as in fig. 30.3c.
This image has an empty alt attribute; its file name is 30.3c.jpg

(fig. 30.3c)

  • This displays the SWIFT dashboard as seen in fig. 30.3d.
This image has an empty alt attribute; its file name is 30.3d.jpg

(fig. 30.3d)

  • The SWIFT dashboard provides information on the number of archived messages. This figure can be refreshed by clicking on the ‘Refresh’ button as in fig. 30.3e below.
This image has an empty alt attribute; its file name is 30.3e.jpg

(Fig. 30.3e)

  • The SWIFT dashboard also provides information on the number of extracted unprocessed messages. This figure can also be refreshed by clicking on its ‘Refresh’ button as in fig. 30.3e.
This image has an empty alt attribute; its file name is 30.3f.jpg

(Fig. 30.3f)

  • The SWIFT dashboard also gives information on the number of SWIFT files processed by the software on the server. This figure can also be refreshed by clicking on its ‘Enumerate’ button as in fig. 30.3g below.
This image has an empty alt attribute; its file name is 30.3g.jpg

(fig. 30.3g)

  • Also, the SWIFT dashboard has a SWIFT message reader that translates SWIFT messages to information that is meaningful to users.

How to Translate SWIFT messages

SWIFT Message types come in a format that cannot be interpreted by layman, hence the need for a SWIFT message reader (SWIFT message translator). The SWIFT console has a message reader. The Compliance Planet SWIFT message reader processes MT102 and MT103 only. These message types are category 1 messages -Customer Payments and Cheques. Here is how to translate a SWIFT message.

STEP 1: Click on ‘SWIFT Message Reader’ as in fig. 30.4a below.

This image has an empty alt attribute; its file name is 30.4a.jpg

(fig. 30.4a)

  • This displays a textbox as in fig. 24.4b.
This image has an empty alt attribute; its file name is 30.4b.jpg

(fig. 30.4b)

STEP 2: Paste the MT102 or MT103 message to be translated on the left side of the console. See an example in fig. 30.4c.

This image has an empty alt attribute; its file name is 30.4c.jpg

(fig. 30.4c)

STEP 3: Click on ‘Read SWIFT Message’ as in fig. 30.4d to translate the message.

This image has an empty alt attribute; its file name is 30.4d.jpg

(fig. 30.4d)

  • This displays a confirmation console to confirm the processing of the message. Click on ‘Confirm’ to proceed or ‘Cancel’ terminate the operation.
This image has an empty alt attribute; its file name is 30.4e.jpg

(fig. 30.4e)

  • By clicking on ‘Confirm’, the compliance planet software SWIFT reader will read the message, and place a transaction folder at the right side of the console and a notification will be displayed at the top of the page. The number of transaction folders represents each transaction reported in the SWIFT message translated. See fig. 30.4f below for an example.
This image has an empty alt attribute; its file name is 30.4f.jpg

(fig. 30.4f)

STEP 4: Click on the transaction folder(s) as in fig. 30.4g to view the message(s).

This image has an empty alt attribute; its file name is 30.4g.jpg

(fig. 30.4g)

  • The translated version of the SWIFT message will appear as shown in fig. 30.4h
This image has an empty alt attribute; its file name is 30.4h.jpg

(fig. 30.4h)

  • Transactions reported in SWIFT messages fall under the Foreign Exchange Transaction type (FXFT). From the message reader, SWIFT transactions read can be posted to the transaction pool for Report processing. Transactions posted will form part of reports generated by the Compliance Planet. If they are re-posted, the transaction details will be duplicated in the report generated.
  • To post the transaction(s) for report processing;
  • click on ‘Post Transaction for Report Processing’ as in fig. 30.4i below.
This image has an empty alt attribute; its file name is 30.4i.jpg

(fig. 30.4i)

  • This displays a confirmation console as in fig. 30.4j. Click on ‘Confirm’ to proceed.
This image has an empty alt attribute; its file name is 30.4j.jpg

(fig. 30.4j)

  • A ‘Success Message’ will be displayed on the page as seen in fig. 30.4k below.
This image has an empty alt attribute; its file name is 30.4k.jpg

(fig. 30.4k)

For further enquiries : 
Tel +234(0) 816 555 9818
Email solutions@efuelite.com 
Web http://solutions.efuelite.com