| BCA_US_TD_ACCT_ADJ_COND |
|
Individual condition adjust |
Bank Customer Accounts |
| BCA_US_TD_ACCT_ADJ_POS |
|
Individual position date adjustment |
Bank Customer Accounts |
| BCA_US_TD_ACCT_CREATE_IND_COND |
|
Create individual cond from std cond for existing accnt |
Bank Customer Accounts |
| BCA_US_TD_ACCT_CR_IND_COND_NEW |
|
Create individual cond from std cond for existing accnt |
Bank Customer Accounts |
| BCA_US_TD_ACCT_MERGE_POS |
|
Individual positions merge |
Bank Customer Accounts |
| BCA_US_TD_AUTH_INTEREST |
|
Authority check for interest markup |
Bank Customer Accounts |
| BCA_US_TD_CHECK_CERT_EXIST |
|
Check Certificate Number exists in Bank Area |
Bank Customer Accounts |
| BCA_US_TD_COND_ADJUST_DISPLAY |
|
Display Condition Comparison |
Bank Customer Accounts |
| BCA_US_TD_COND_ADJUST_INIT |
|
Initialization of Condition Comparison |
Bank Customer Accounts |
| BCA_US_TD_COND_ADJUST_STORE |
|
Konditionen vormerken |
Bank Customer Accounts |
| BCA_US_TD_COND_MAINTENANCE_CTL |
|
Control Condition Maintenance |
Bank Customer Accounts |
| BCA_US_TD_COND_SET_STORE_TYPE |
|
Set Save Type in Merger |
Bank Customer Accounts |
| BCA_US_TD_GET_ALL_CERTS |
|
Get all certificates of account |
Bank Customer Accounts |
| BCA_US_TD_GET_CERTS_ROLLOVER |
|
BCA: Get time deposit accounts by maturity date |
Bank Customer Accounts |
| BCA_US_TD_GET_CURR_CERT |
|
Get account's current certificate |
Bank Customer Accounts |
| BCA_US_TD_GET_NEXT_CERT_NUM |
|
Time deposit: Get next certificate number |
Bank Customer Accounts |
| BCA_US_TD_PERIODUNIT_GET |
|
Determine period unit from input |
Bank Customer Accounts |
| BCA_US_TD_PERIODUNIT_SET |
|
Set period unit from input |
Bank Customer Accounts |
| BCA_US_TD_PERIODUNIT_TEXT_GET |
|
Get text description of the period unit |
Bank Customer Accounts |
| BCA_US_TD_PRINT_CERTIFICATE |
|
Printing of Time Deposit Certificate |
Bank Customer Accounts |