Finacle Vault Operations -- Giving Cash to Vault

At day end the counter PA returns back the net physical cash to Treasurer after tallying cash in the counter.

Step by Step Process :

>  Invoke the menu option HTM, the following page will be displayed
    Then select Function Code : Add 
    Transaction Type/Sub type- C/CT(Cash/Cash Transfer)--Click Go




> Then the following page will be displayed



> Now enter the following details as shown below
          1. Select Part Transaction : Debit
          2. A/c ID : Vault A/c (SOLID + 0406)
          3. Ref CCY/Amt : Enter the amount of cash given to Treasurer
          4. Click Add





 > After clicking Add, now enter the following details as shown below
         1. Select Part Transaction : Credit
2. A/c ID : Teller Cash A/c
          3. click the button (3=3) system will automatically selects the Part Tran Type as   
              Credit and fills the amount (or) else you can the amount. 
          4. Click Post and note down the Tran ID




          Now supervisor has to verify the Tran ID as shown below

> In Supervisor login invoke HTM menu, the following page will be displayed
   Then select Function Code : Verify and enter the Tran ID as shown below -- Click Go




> Then the following page will be displayed, verify the details and Click Submit




> Now You can check the cash balance with the teller using the menu HACLINQ
   Invoke menu HACLINQ and enter 1. A/c ID : Teller A/c ; 2. Date : Today's Date -- Click 
   Go




> Then the following page will page will be displayed where you can see the teller cash 
        balance as zero





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