Feature of the account in Account Management (FS-AM) for administration of time deposit agreements.
All the other basic functions for an account are also available.
Accounts for which the time deposit (feature attribute 0015) feature is active are used for administration of time deposits. This is a term product with a fixed term.
An account can only contain one current time deposit agreement, which means that the terms of different time deposit agreements for the same account cannot overlap.
The following properties apply for all time deposit agreements of a time deposit account and are displayed on the Time Deposit tab page:
The standard declaration of intent defines how the system reacts when the end of term is reached for the time deposit agreement. This response is executed if you have not manually created any future time deposit agreements.
For more information, see the documentation for the field in the system.
The life cycle of a time deposit agreement (and the time deposit account) can be divided into three phases:
· The preliminary phase starts at the start of the contract for the time deposit account and ends at the end of the first day of the fixing phase.
· The fixing phase starts on the actual start of term and ends at the end of term. During this phase, the agreed contract amount and the conditions are fixed, which means that they are not changed.
For more information, see Fixing Time Deposits.
· The maturity phase starts at the end of term for the time deposit agreement. During this phase, you can change the data of the time deposit agreement, such as the standard declaration of intent or the contract amount for a subsequent agreement.
For more information, see the Calling Time Deposits section of the SAP Library.
The current phase is displayed in the Phase group box on the Time Deposit tab page of an account
Phases of a Time Deposit Account
If the relevant settings are made in the standard declaration of intent and the actions at end of term, then the system executes automatic rollover of the time deposit agreement.
It is possible to define a grace period for the transition into a subsequent agreement (by rollover or manual scheduling).
Grace period for time deposit
For more information on the agreements made when you create a contract for a time deposit agreement, see Editing Time Deposit Agreements.
For time deposits we differentiate between master data and flow data.
· Master Data
The master data of a time deposit is managed by contract element: time deposit (BCFD).
· Transaction Data
The flow data of a time deposit is monitored and controlled by life cycle control: time deposit.
For more information, enter transaction fs_am_tech_doc (Technical Documentation FS-AM) and see the Fixed-Term Deposit section and subsections.
· Contract element: Time deposit (BCFD)
· Life cycle control: Time deposit
· Time deposit events
The structure definition of a time deposit is divided into attributes, methods and customer enhancements.
· Time deposit (contract data)
· Phase
· Standard declaration of intent
· Close Accounts
· Term variant
· Contract currency
· Minimum contract amount
· Maximum contract amount
· Provision period (days)
· Preliminary period for notice of maturity (days)
· Minimum term (number)
· Maximum term (number)
· Create confirmation of new creation
· Create confirmation of re-creation
· Create repayment confirmation
· Time deposit agreement number
· Start of Term
· Term (number)
· Term (unit)
· End of Term
· Latest start of term
· Notice of maturity (date)
· Time deposit status
· Fixed end of term
· Contract Amount
· Delta amount
· Contract currency
· Contract amount determination type
· Full payoff
· Interest usage (term)
· Interest usage (end of term)
· Calculation of capital yield tax
· Create notice of maturity
· Source
· Minimum additional deposit
· Maximum additional deposit
· Increment of the additional deposit
· Allow debit during fixing phase
· Time deposit grace period (days)
· End of time deposit grace period
· Interest forfeited if cancellation in time deposit grace period
· Start of rate lock period
· Rate lock period (number)
· Rate lock period (unit)
· End of rate lock period
· Reason for rate lock period
In Account Management (FS-AM), you can use one of the following channels for processing objects:
· Dialog
· Business Application Programming Interface (BAPI)
The following overview shows which methods of a time deposit can be called up via which channel:
Individual processing:
Transaction Code |
Short description |
Transaction bca_rc_ftd_next_due |
|
Transaction bca_rc_ftd_fix_sng |
|
Transaction bca_rc_ftd_due_sng |
|
Transaction bca_rc_ftd_rev_sng |
|
Transaction bca_rc_ftd_cor_sng |
|
Transaction bca_rc_ftd_pen_calc |
Mass processing:
Transaction Code |
Short description |
Transaction bca_rc_ftd_fixing_pp |
|
Transaction bca_rc_ftd_due_pp |
|
Transaction bca_rc_ftd_duecor_pp |
Business Application Programming Interface (BAPI)
A time deposit does not have its own BOR object, as does the product change (account) for example, because the master data of a time deposit is part of the master data of the account. You can edit the master data of a time deposit with the following BAPIs:
· CMAccountAM.FixedTermDepositGetDetail
· CMAccountAM.FixedTermDepositChange
There are no BAPIs available for the flow data of a time deposit (such as fix time deposit).
For time deposits, direct input is implemented for the data of contract element: time deposit (BCFD).
The following Business Transaction Events (BTEs) are available for time deposits:
Publish & Subscribe-BTEs
BTE |
Short description |
0BCA2701 |
Time deposit (OPEN SINGLE) |
0BCA2702 |
Fix time deposit (SET SINGLE) |
0BCA2703 |
Actions at latest start of term (SET SINGLE) |
0BCA2704 |
Actions for inconsecutive rollover (SET SINGLE) |
0BCA2705 |
Create notice of maturity (SET SINGLE) |
0BCA2706 |
Call time deposit (SET SINGLE) |
0BCA2707 |
Undo fixing (SET SINGLE) |
0BCA2708 |
Undo calling (SET SINGLE) |
0BCA2709 |
Time deposit (CHECK SINGLE) |
0BCA2710 |
Time deposit (PREPARE ALL) |
0BCA2711 |
Time deposit (SAVE ALL) |
0BCA2712 |
Time deposit (RESET ALL) |
Process BTEs
BTE |
Short description |
0BCAA110 |
Print correspondence type BA11 |
0BCAA111 |
Request for correspondence type BA11 |
0BCAA120 |
Print correspondence type BA12 |
0BCAA121 |
Request for correspondence type BA12 |
0BCAA130 |
Print correspondence type BA13 |
0BCAA131 |
Request for correspondence type BA13 |
0BCAA140 |
Print correspondence type BA14 |
0BCAA141 |
Request for correspondence type BA14 |
You make the settings for life cycle control of a time deposit in Customizing for Account Management (FS-AM) under Product Management ® Life Cycle Control for Time Deposits in the following IMG activities:
· Edit Start of Term Variants
· Edit Term Variants
· Check Term Variants
· User Determination for Time Deposit
You make the settings in the product in Customizing for Account Management (FS-AM) under Product Management ® Product Definition ® Account Products ® Create Account Product/Change Account Product ® Next Screen ® Used Attributes ® Time Deposit Agreement.