Able to do ‘Apply Cash’ for the contracts in batch to transfer monies from Company Suspense Account to Contract Suspense Account matching by the application numbers.
The original company suspense receipt’s client details if found incorrect need to be corrected to reflect the Life Assured Client upon successful transfer of monies.
When automatically transferring monies from company suspense account (SC/I) to contract suspense account (LP/S), the original receipt is to be cancelled and reissued with the policy owner of the proposal as the client of the reissued receipt and the reissued receipt is to be used for transferring the monies to the contract suspense, if
the client number of the receipt is the same as the designated client number for the bank code and
the application number in the company suspense receipt is same as in a proposal
Both in receipts and in contracts creation, the application numbers is mandatory and are captured is assumed as supported to do apply cash in batch