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BANKING
SOLUTIONS
FINACLE
MANUAL Accounts
Automatic Ledger Posting Machines ALPMs
General Set up
Production Server -30 days limitation
Report Server - Tailor made reports
Special Modules for special activities such as Foreign Exchange, Bills Purchased,
Service Branch (City Back Office), Pension, Government Business etc., embedded
into the main module.
Multi currency P & La/c and Balance Sheet, with daily revaluation complying with
AS 11.
Head office has also been brought under CBS Module in almost all banks. To the
extent feasible all accounting units Extn. Counters, Service Branches, Personal
Banking, Zonal / Regional Offices have been brought under CBS.
Only quarter / half year / year end adjustment entries such as giving effect to MOCs
from Branches,
Provision for claims against the bank not acknowledged as Debt,
Depreciation on Fixed Assets,
Provision for Standard Assets and Provision for Bad and Doubtful Debts,
Provision for Employees Benefits (Revised AS 15)
Provision for Taxation,
Proposed Dividend, Dividend Tax thereon,
Appropriation to Reserves,
are outside the CBS.
These entries can be passed only much later after the closure of the quarter. The Start
of the Day (SOD) of the Ist working day of the following month cannot be wait for these
entries. These are normally through stand alone PC in Head Office Accounts / Finance
Department which is exclusively checked by one of the Statutory Central Auditors.
This incidentally enables banks to maintain secrecy over the working results.
SHORT NAME
MARITAL STATUS
DATE OF BIRTH
DATE OF REGISTRATION
COMPANY ID NO
REGISTERED OFFICE
MOBILE NO
EMAIL ADDRESS
PAN CARD NO
PAN ISSUED BY
INTRODUCERS
NAME
ACCOUNT NO.
ADDRESS
RELATIONSHIP
HOW LONG KNOWN
PIN CODE
Please note that some menus are not made available to auditors such as HCUMM, GMM
ELECTORATE ID NO
ISSUED BY
ISSUED DATE
PASSPORT NO
ISSUED BY
VALID UPTO
OTHER ID NO
ISSUED BY
VALID UPTO
CIBIL DATA
DUNS NO
WILLFUL DEFAULTER
DATE OF CLASSIFICATION AS A WILLFUL DEFAULTER
OTHER DETAILS
SENIOR CITIZEN
ANNUAL INCOME
EXTERNAL RATING
LINE OF ACTIVITY
TURNOVER
EXTERNAL RATING
HOTKEYS
F1
HELP
F2
LIST
F3
BACK
F4
ACCEPT
F5
BACKGROUND
F6
NEXT BLOCK
F7
QUERY
F8
COPY
F9
SIGNATURE
F10
COMMIT
F11
NEXT FIELD
HOT KEYS
F12
PREVIOUS BLOCK
ENTER
NEXT FIELD
SHIFT+ F4
SELECT
CONTROL + E
FIELD DETAILS
CONTROL + D
PAGE DOWN
CONTROL + U
PAGE UP
CONTROL + X
BOD / DATE
CONTROL + F
ACI
ACINT
ACM
ACLHM
ACSP
ACTODI / TODCS
ACDREV
ADVINT
AINTRPT
ASSCR
ATI
ATO / ATOR
CLL
CLMRPTS
CUMM / CUMI
EXCPRPT
Exception Report
GR
HCUMM / CUMI
IOGLT
Inquire on GL Transactions
INTPRO
ITCI
IARMREP
LADRPT
LAOPI
LAPAY
LTL
LVSI
MINTRPT
MEAC
OVDINT
PCARPT
POVDPC
SRM
SCWRPTA
SUPPLM
Supplementary
FBI
FXTR
FWCRG
GMM
GILR
GENR
IDCM
ODCM
Account wise Interest Rate menu will give account code wise (CCA, ODA, LAA)
as well as scheme wise the following details.
Rate of Interest, Limit, Balance Outstanding, Interest Table pegged flag, Customer
Preferential Rate, Account Preferential Rate, Min. ROI, Max.ROI, Effective interest
rate etc.,
There are specific menus (command may vary from bank to bank) to ascertain list of
CCA, ODA, LAA, even Fixed Deposit where interest has not been applied. For
eg.,Interest fail report > CC /OD/ Loans. Interest fail report > Term Deposit
Similarly For getting the details of Premature closure of FDRs during certain
period, or for accounts where excess drawings were allowed etc., there are bank
designed reports which the branch is taking daily reports and preserving.
WORKCLASS
DESIGNATION
CLASS
CUSTOMER
CUS
CLERK
CLERK
SWO 1
SWO1
SWO 2
SWO2
HEAD CASHIER 1
HC1
HEAD CASHIER 2
HC2
SPL. ASST
SPA
ASST MANAGER
AM
MANAGER
MAN
SENIOR MANAGER
SRM
ZONAL HELP DESK
ZOHD
CHIEF MANAGER
CM
ASST. GENERAL MANAGER
AGM
DY.GEN.MANAGER
DGM
SECOND IN COMMAND IN BRANCH ABH
BRANCH MANAGER
BH
AUDITOR INTERNAL
AUDIN
AUDITOR EXTERNAL
AUDEX
GENERAL MANAGER
GM
EXECUTIVE DIRECTOR
ED
CHAIRMAN & MANAGING DIRECTOR CMD
CODE
25
50
60
70
80
90
100
150
200
300
355
400
550
600
850
900
350
360
700
750
800
INTEREST EXPENSES
INTEREST INCOME
There are certain advances on which interest is not debited to the account, for eg.,
Agricultural Advances, Simple Interest accounts, and those accounts where the client wants
the interest to be debited to the account only on the due date for repayment. In all such
cases interest up to 31st March is calculated by the system reckoned as interest income,
parked in Interest Accrued and Receivable and will be reversed on the next working day.
IMG_20140312_151443422_HDR
Auditors should see that interest is provided for on accounts opened after 25th of
March.
Please look into any manual debit income items (MINTRPT) including Interest Income. All
debits should be authorised by the branch head.
Provision should have been made at branch level for all usual expenses incurred but not
yet paid. Please go through the complaints, claims and cases against the bank and if
any claim needs to be provided please get it done through MOC.
NPA stipulations are equally applicable to staff loan accounts as well subject to
only such normal concessions as per Banks policy such as interest is payable
after the entire principal is repaid and interest will be simple interest etc.
PROXY A/c This is a suspense account where debits are parked in respect of
those accounts wherefrom the charges (such as charges for not maintaining
minimum balance) could not be recovered for want of sufficient credit balance.
Auditors should test verify the credits in this account relate to either recovery of
the charges by corresponding debit to the deposit account or reversal of such
irrecoverable charges to the debit of the same revenue head (charges for not
maintaining minimum balance).
Peruse all suspense heads to ascertain whether any debit entry needs
provisioning.
POINTING A/CS
In Finacle Sundry Debtors & Creditors are known as pointing a/cs since
entries made in these heads are to be reversed point to point e.g. a credit
entry of Rs 200/- can only be reversed for the same amount, no change in
amount is accepted. However part amount is accepted.
INTERMEDIARY ACCOUNTS:
Any credit to loan account by way of clearing cheque is routed through this
intermediate office account and the loan account will be credited only after the
clearing cheque has been honoured.
PARTITION A/CS
Partition A/Cs are those A/Cs where additional details are required to be
entered. Subsidy Reserve Fund a/c is a partition a/c where details of Loan a/c
having subsidy portion are to be entered account wise.
O/s
O/d
EMI
Remarks
19.58
0.58
16.63
0.50
42.48
22.48
2.3 Overdue
Any amount due to the bank under any credit facility is overdue if it is not paid
on the due date fixed by the bank.
4.2.3 Availability of security / net worth of borrower/ guarantor
The availability of security or net worth of borrower/ guarantor should not be taken
into account for the purpose of treating an advance as NPA or otherwise, except to
the extent provided in Para 4.2.9.
.
ii) Regular and ad hoc credit limits need to be reviewed / regularised not later than
three months from the due date/date of ad hoc sanction. In case of constraints
such as non- availability of financial statements and other data from the borrowers,
the branch should furnish evidence to show that renewal/ review of credit
limits is already on (emphasis added) and would be completed soon. In any case,
delay beyond six months is not considered desirable as a general discipline.
Hence, an account where the regular / ad hoc credit limits have not been reviewed
/ renewed within 180 days from the due date / date of ad hoc sanction will be
treated as NPA.
4.2.6 Accounts regularised near about the balance sheet date
The asset classification of borrowal accounts where a solitary or a few credits are
recorded before the balance sheet date should be handled with care and without
scope for subjectivity. Where the account indicates inherent weakness on the basis
of the data available, the account should be deemed as a NPA. In other genuine
cases, the banks must furnish satisfactory evidence to the Statutory
Auditors/Inspecting Officers about the manner of regularisation of the account to
eliminate doubts on their performing status.
4.2.7 Asset Classification to be borrower -wise and not facility -wise
S. C. DHOLE
General Manager(IT)-FITI
UCO BANK
Head Office.
Department of Information Technology
7th Floor. 3 &4 DD block. Sector 1 Salt Lake
Kolkaia - 700 064
Phone (033)23340862
1-ax; (O33H4559705
E-Mail: gmit.calcutta@ucobank.co.in
FORWARD
I am pleased to release the second edition of "HANDY BOOK ON CBS" which has proved to
be of considerable help of Users, especially at Branches. It is our constant endeavor to include
recent developments in CBS and sincere efforts has been put to ensure correctness and
accuracy while updating the revised edition.
I sincerely believe that this booklet will continue to be of great use to the field level
functionaries of our Bank. This booklet is also available on UCO ONLINE under E-Reference
Section.
We solicit suggestions and comments from all quarters for overall improvement of the booklet.
I wish the readers to take maximum advantage from this booklet.
(S. C. Dhole)
General Manager
(IT & Financial Inclusion - Tech. Implementation)
CURRENT ACCOUNT
TERM DEPOSIT
LOAN ACCOUNT
STANDING INSTRUCTION
RTGS
ECS
CLEARING
PACKING CREDIT
GUARANTEE
INWARD REMITTANCE
OUTWARD REMITTANCE
LETTER OF CREDIT
FORWARD CONTRACT
INVENTORY
LOCKER
10
GODOWN REGISTER
10
GENERAL
10
11
17
17
21
22
23
PTW
24
24
25
25
HOT KEYS
27
WEB LOGIN
27
WORK CLASS
27
ADDITIONAL INFORMATION
28
31
Description
Web Menu
CUSTOMER CREATION
Customer Creation & Master maintenance
CUMM
Verification
CUMM
To find out if the customer is already having
CUS
a customer ID
SAVINGS BANK ACCOUNT
Opening of an account
OAAC
Verification
OAACAU
Modifying an operative account
ACM
Verification
ACM
Mass Account opening (needs no
MACOP
verification, with or without customer ID)
Cash withdrawal
TM
Cash deposits
TM
Transfer transactions
TM
For Issuing cheque books & verification
ICHB
To enter and revoke Stop payment
SPP
instruction
Verification of Stop payment instruction
SPPAU
Interest run for the account.
ACINT
Issue Pass Book to an account
PBP
Issue of Pass sheet (Statement)
PSP
Transfer Of Account between Schemes
ACXFRSC
Collection of account closure & other
CACC
charges
Closing an account
CAAC
Verification of Account Closure
CAACAU
Customers Account/Ledger Enquiry
ACLI
CURRENT ACCOUNT
Opening of an account (Individuals &
OAAC
Others)
Verification
OAACAU
Modifying an operative account
ACM
Verification
ACM
Mass Account opening (needs no
MACOP
verification, with or without customer ID)
Cash withdrawal
TM
Cash deposits
TM
Transfer transactions
TM
For Issuing cheque books & verification
ONS Menu
HCUMM
HCUMM
HCUS
HOAACSB
HOAACVSB
HACM
HACM
HCASHWD
HCASHDEP
HXFER
HPBP
HCAAC
HCAAC
HACCBAL
HOAACCA
HOAACVCA
HACM
HACM
HCASHWD
HCASHDEP
HXFER
ICHB
HCAAC
HCAAC
HACCBAL
HOAACTD
HOAACVTD
HACMTD
HACMTD
Description
Web Menu
Interest run for the account.
ACINT
Renewal of Term deposits
TDREN
Extension of Term deposits
TDEXT
Renewal of Overdue Term deposits (after
OVDINT
14 days)
Deposit receipt printing
DRP
Duplicate deposit receipt printing
DUDRP
TDS calculation
TDSCALC
TDS inquiry & printing
TDSIP
Customers Account/Ledger Inquiry
ACLI
Term Deposit Interest Version Inquiry
TVSI
Closing an account
CAAC
Verification of Account Closure
CAACAU
Deposit modeling
DEPMOD
Interest calculator
DEPINT
Pending installment of RD accounts
PLIST
Transfer Of Account between Schemes
ACXFRSC
Transfer Of Account between Sols
ACXFRSOL
LAGHU BACHAT YOJNA
Opening of an account
OAAC
Verification
OAACAU
After verification of the account for interest
RDACM
set up
Credit the amount to the LBY monthly
TM
collection account
Debiting LBY Monthly collection a/c and
TTM
credit to corresponding LBY a/c
Interest calculation before closure of
RDINTTM
account
Closure of account
CAAC
Verification of account closure
CAACAU
LBY Agents Commission Calculation
CALAGCOM
CASH CREDIT & OVERDRAFT
Opening of an account - Overdraft
OAAC
Verification
OAACAU
Opening of an account - Cash Credit
OAAC
Verification
OAACAU
Modifying an account - CC / OD
ACM
Verification
ACM
Cash withdrawal
TM
Cash deposits
TM
Transfer transactions
TM
For Issuing cheque books & verification
ICHB
To enter and revoke Stop payment
SPP
instruction
Verification of Stop payment instruction
SPPAU
Transfer Of Account between Schemes
ACXFRSC
Transfer Of Account between SOL's
ACXFRSOL
Interest run for the account.
ACINT
Collection of account closure & other
CACC
charges
Closing an account
CAAC
Verification of Account Closure
CAACAU
ONS Menu
HTDSIP
HACCBAL
HCAAC
HCAAC
HOAACSB
HOAACVSB
HCAAC
HCAAC
HOAACOD
HOAACVOD
HOAACCC
HOAACVCC
HACM
HACM
HCASHWD
HCASHDEP
HXFER
HCAAC
HCAAC
Description
customers Account/Ledger Enquiry
Assessment, Collection & Refund of
charges
Limit node creation, maintenance &
verification
Account limit history/Drawing Power
maintenance
Account
Limit
History
Maintenance
Authorization.
Limit node enquiry.
Limit node details enquiry.
Limit Node History Maintenance
For Inquiry of Customer Limits.
Linking all types of securities to the account
For Granting TOD (adhoc) in any CC / OD
account
Verification
Modification
Verification
of
asset
classification
Web Menu
ACLI
ONS Menu
HACCBAL
GCHRG
LNM
HLNM
ACLHM
HACLHM
ACLHMAU
HACLHM
LNI
LNDI
LNHTIR
HACLHI
SRM
HBKQRY
HCLM
ACTODM
HACTODM
ACTODMAU
HACTODM
MEAC
LOAN ACCOUNT
Opening of an account
Verification
To collect up-to-date interest & other
charges on closing a loan account
Closing an account (only after
PAYOFF/HPAYOFF)
Verification of Account Closure
Modifying a Loan Account & Verification
Customers Account / Ledger Inquiry
Loan Disbursement
Assessment, Collection & Refund of
charges
Demand generation and interest calculation.
Loan schedule payment.
Loan un-schedule payment.
Loan repayment menu
Loan rescheduling
Loan lien marking.
Loan general enquiry.
Make an asset past due.
Security register module report.
Loan repayment schedule report
Loan overdue position enquiry
Linking all types of securities to the loan
account
Collateral linkage lookup
Loan modeling (to find EMI etc.)
Inquiry on loan interest version
OAAC
OAACAU
HOAACLA
HOAACVLA
PAYOFF
HPAYOFF
CAAC
HCAAC
CAACAU
ACM
ACLI
LADISB
HCAAC
HACMLA
HCULA
HLADISB
LAFACR
HLAFACR
LADGEN
HLASPAY
HLAUPAY
LAPAY
HLARA
LALIEN
HLAGI
MAPD
CLMRPTS
LAOPI
HLARSH
HLAOPI
HCLM
CLL
LAMOD
LVSI
HLAMOD
&
HSSIM
SIM
SIE
Description
Carrying forward the failed standing
instruction for doing the same on the next day
Web Menu
ONS Menu
CFLM
SIETR
SICL
SIADVC
SIRP
RTGS
DDPRNT
DDREPRNT
DDREVAL
DDIC
DDID
DDII
DDIP
BCREPORT
POOUTSTD
DDP
CDDP
ECS
EITU
ECSSORT
EITUU
ECSUP
EIRP
HEIRP
ECSSTUP
NIRP
Description
Web Menu
ONS Menu
RECS
ECSRECON
NECSSORT
RECSSORT
ECSEITU1
ECSEITU
ECSREP
ECSDUMP
NECSEITU
NECS1
NECSREP
NECSDUMP
ECSRECON
CLEARING
Maintenance of Inward clearing
Inward clearing transaction maintenance
(entering the instruments) & verification
Maintenance of outward clearing
Outward clearing transaction maintenance
(entering the instruments) & verification
Mass verification of instruments
Bar advice printing
Printing details of instruments entered
(Outward clearing)
Printing details of instruments entered
(Inward clearing)
Printing of clearing schedule
Mark pending
Revoke pending
Inquiry on instrument position (Inward
clearing)
Inquiry on instrument position (Outward
clearing)
Inquiry on clearing transaction sets
Verified cheque list of Outward Clearing
Inquiry of shadow balance in the account.
Upload records of inward clearing
presented through floppy
MICZ
ICTM
MCLZOH
OCTM
OCTV
CLBAP
PWO
PICS
PCLSO
HMARKPEN
REVPEND
HOIQ
HOPQ
IOCLS
VCHL
ACSBIO
RMI
HICI
HICTM
IWSET
Description
Web Menu
PACKING CREDIT
ONS Menu
OAAC
TM
RPCTM
PCTM
EXPODM
EXPRPT
PCARPT
PCLIALST
POVDPC
CLSPCA
GUARANTEE
GMM
IMRRPT
TCACKN
TCISSUED
LETTER OF CREDITS
Inward Documentary Credits Maintenance
IDCM
Outward Documentary Credits Maintenance
ODCM
Customer Text Maintenance
CUTXTMNT
DC Reports and Advices
DC Printing
DC General Purpose Report Printing
Report on Expiring DCs
Statement of DC
Transaction Advice Printing
DC Liability Register Printing (Balancing as on
date)
DCRPTS
DCPRINT
DCGPR
DCEXPLST
DCSTMT
CHRGADVP
DCLIABRG
Description
DC Register Printing
DC Query
DC Online Query and Modification
Debit/Credit Party advice for DC / LC issue
Import bill drawn under DC/LC
Acceptance/Due Date confirmation (Import bills
under LC)
ONS Menu
ACCRPT
FORWARD CONTRACT
MNTFWC
EXTFWC
FWCCM
CNCLFWC
Web Menu
DCREG
DCQRY
DCQRYM
CHRGADV
FBCS
FWCHI
FWCLIAB
FWCNOTE
FWCODLST
FWCQRY
FWCREVAL
FWCRG
FWCRMND
FWCLIAB
FWCRPT
FWCOUT
FOREIGN AND INLAND BILLS
FPCM
CUSTFBM
FBM
FBHI
FBI
FBCS
FBADVP
FBBR
FBP
FBOIB
FBPADB
FPCM
FBP
FBIR
FBER
SUMODE
PTW
Description
SB / CA Overdraft Register printing
Inquiry on History of Partition A/c
Inquiry on Partitioned Account
Office Account Ledgers Print
Outstanding Items Report (Sundry Creditors/ Sundry
Debtors)
Minor Subsidiaries Outstanding Items Report
(Sundry Creditors/ Sundry Debtors)
Web Menu
TODRP
PHINQ
PARTINQ
ACLPOA
ONS Menu
MSGOIRP
MSOIRP
BR
IEARP
IEMRP
ACDET
ZOUPM
UTXNRPT
BARUPLD
KYC
S14
10
Description
Web Menu
MIS UPDATION MENU'S
Miscellaneous Codes Update
MISCD
Account health Code Update
MODHLTH
Customer update for Advance accounts
CMGUPADV
Customer update for Deposit accounts
CMGUPDEP
Old a/c No.from New Finacle Ac No (14
NANO
digits) signature scanning
Modification of Mode of Operation
MOPC
INVENTORY
Inventory (Security printing) movement &
IMC
verification
Inventory movement inquiry
IMI
Splitting of inventory
ISIA
Issue of cheque / DD / PO books
ICHB
For Cheque book maintenance
CHBM
LOCKER
Locker key maintenance
Locker customer maintenance
Locker transactions-history maintenance
Locker
rent
charge
collection
maintenance
Locker operation maintenance
Locker reports
SAFE CUSTODY ARTICLES
Safe custody register (Safe Custody Master
Maintenance)
Charge collection maintenance
Reports on safe custody articles
Batch recovery of charges
ONS Menu
HCHBM
LKK
M
LKC
LKCHM
LKRCM
LKOP
LKREPM
SCCM
SCCCM
SCREPM
SCBRT
GODOWN REGISTER
Godown register (needs verification)
Linking a Godown with an employee
(Godown keeper)
Stock details
GDM
GDEMP
GDSKM
GENERAL
HACCBAL /
HACCDE
T
HCUACC
ACLPCA
HAC
ACM
HCHBM
INQACHQ
PBP
PSP
AFSM
EMM
SALUPLD
OCST
OXFT
GECM
EFM
PWMNT
PRTUPD
HPB
HPS
11
Account Name
COMMISSION AND EXCHANGE
PAID
BROKERAGE PAID
BACID
**NB
73100001
73100002
74100007
74100022
75010001
75010007
INSURANCE
FGM-INSURANCE
75020001
75020009
75020004
BACID
73100004
73100005
74100028
74100029
75010011
75020015
75020016
75020012
COURIER
FGM-COURIER
75020007
75020014
75020019
75020020
POSTAGE
FGM-POSTAGE
75020003
75020011
75020021
75020022
LAW CHARGES
FGM-LAW CHARGES
75020002
75020010
75020023
75020024
REPAIRS TO BANKS
PROPERTY
FGM-REPAIRS TO BANKS
PROPERTY
75010005
75010010
75030001
75030008
75030002
75030009
75030003
75030010
75030006
75030011
75030007
75030012
75010012
75010013
75010014
75020017
75020018
75030019
75030020
75030021
75030022
75030013
75030014
75030015
75030016
75030017
75030018
12
Account Name
TRAVELLING EXPNS -STAFF
BOARDING LODG D
FGM-TRAVELLING EXPNS STAFF BOARDING LO
TRAVELLING EXPNS -STF
OTH THAN BOARD LO
FGM-TRAVELLING EXPNS -STF
OTH THAN BOAR
TRAVELLING EXPENSESOTHERS
FGM-TRAVELLING EXPENSESOTHERS
ENTERTAINMENT EXPENSES
FGM-ENTERTAINMENT
EXPENSES
CONVEYANCE EXPENSES
FGM-CONVEYANCE
EXPENSES
MOTOR CAR OR VEHICLE
EXPENSES
FGM-MOTOR CAR OR
VEHICLE EXPENSES
BACID
75040001
75040009
75040008
75040016
75040002
75040010
75040003
75040011
75040004
75040012
75040005
75040013
75050040
75050007
FGM-MEETING EXPENSES
75050043
75050008
75050011
FGM-RESIDUAL EXPENSES
75050056
75050009
75050001
75050024
75050045
75050029
75050032
75050049
75050039
75050055
75050028
75050047
75050031
75050048
75050062
BACID
75040019
75040020
75040021
75040022
75040023
75040024
75040025
75040026
75040027
75040028
75040029
75040030
75050063
75050064
75050065
75050066
75050067
75050068
75050069
75050070
75050071
75050072
75050073
75050074
75050075
75050076
75050077
75050078
75050079
75050080
75050081
75050082
13
Account Name
MANUAL COMMITMENT
CHARGES
BACID
COMMITMENT CHARGES
80090001
80020006
81010001
81010002
81010003
81010004
81010005
81010009
81010010
81010011
81010020
BACID
80020007
80090002
81010015
81010016
81010017
81010018
81010019
81010012
81010013
81010014
81010021
81020005
BROKERAGE RECEIVED
81030001
81030002
TURNOVER COMMISSION
81040110
81040111
TURNOVER COMMISSION
PENSION
TURNOVER COMMISSION
CBDT
TURNOVER COMMISSION
CBEC
TURNOVER COMMISSION
PPF
TURNOVER COMMISSION
BONDS
81020001
81020002
81020003
81020004
81020010
81020011
81020012
81020013
81041005
RENT ON LOCKERS
81050110
81050111
TRAVELLING EXPENSES
REIMBURSED
81060001
81060002
82010001
82010002
PREPAYMENT CHARGES
MANUAL PREPAYMENT
CHARGES
81020009
81041001
81041002
81041003
81041004
-
82030010
82030015
81041006
81041007
81041008
81041009
81041010
82030016
82030017
14
Account Name
CHG. FOR ISSUING CHQ
BOOKS
BACID
82030002
82030001
82030003
82030004
82030014
82030011
82040001
82040002
BACID
82030018
82030019
82030020
82030021
82030022
82030023
82040003
82040004
** NB : Please add Sol_id (XXXX) and Ccy (10) with the above bacid for Income / Expense & Service tax a/cs
ACCT_NAME
OVER DUE TERM DEPOSITS-OTHERS MANUAL
DEMAND DEPOSITS-OTHERS- UNCLAIMED
DEMAND DEPOSITS-OTHERS- OTHERS
INOPERATIVE CURRENT DEPOSIT MANUAL
INOPERATIVE SAVINGS DEPOSITS MANUAL
INOPERATIVE SAVINGS DEPOSITS MANUAL
TERM DEPOSIT -MANNUAL
UCO LAKSHMI
MONEY BACK RECURRING
LAGHU BACHAT YOJANA
LBY AGENTS SECURITY DEPOSIT
LBY SUSPENSE ACCOUNTS
FCNR-B DEPOSIT MANUAL
MANAGERS CHEQUES - PAY ORDER
DDS PAYABLE FOREIGN BRANCHES
MTS PAYABLE INDIAN BRANCHES
MTS PAYABLE FOREIGN BRANCHES
TTS PAYABLE INDIAN BRANCHES
TTS PAYABLE FOREIGN BRANCHES
ACCOUNT PAYABLE OTHERS
ATM MITR TXN.PAYABLE AC
ATM SBI TXN.PAYABLE AC
ATM FUNDS TRANSFER TXN. PAYABLE AC
BANK ORDER PAYABLE
BILLS PAYABLE-OTHERS
ATM MITR TXN PAYABLE
ATM SBI TXN PAYABLE
VISA TXN PAYABLE
NEFT PAYABLE A/C
NFS TRANSACTIONS PAYABLE ACCOUNT
NEFT CASH REMITTANCES ACCOUNT
CFD INTEREST ACCOUNT-BANK KUB
CFD INTEREST AC
CFD INTEREST A/C-FLEXI DEPOSIT
CFD INTEREST A/C-FLOATING RATE DEPOSIT
CFD INTEREST A/C-UCO DIAMONG DEPOSIT
CFD INTEREST A/C-LAKSHPATI DEPOSIT
ACCOUNT NO
XXXX1011060001
XXXX1011070001
XXXX1011070002
XXXX1011070003
XXXX1012010001
XXXX1012040001
XXXX1014065001
XXXX1014080001
XXXX1014080002
XXXX1014085001
XXXX1014090001
XXXX1014095001
XXXX1014145001
XXXX1015010001
XXXX1015020003
XXXX1015020004
XXXX1015020005
XXXX1015020006
XXXX1015020007
XXXX1015020009
XXXX1015020010
XXXX1015020011
XXXX1015020012
XXXX1015020013
XXXX1015020015
XXXX1015020016
XXXX1015020017
XXXX1015020018
XXXX1015020019
XXXX1015020023
XXXX1015030001
XXXX1016010001
XXXX1016020001
XXXX1016020002
XXXX1016020003
XXXX1016020004
XXXX1016020005
15
ACCT_NAME
CFD INTEREST A/C-MONEY MULTIPLIER DEPOSIT
CFD INTEREST A/C-CAPITAL GAIN DEPOSIT
CFD INTEREST A/C-DEPOSIT CERTIFICATE
INT ACC AND PBLE -OVERDUE FIXED DEPOSIT
INT ACC AND PAYBLE CFD - FCNR(B)
INT ACC AND PAYBLE CFD - NRNR
CFD INTEREST ACCOUNT-NR0 DEPOSIT
CFD INTEREST ACCOUNT-NRE DEPOSIT
INT ACC AND PAYBLE CFD - RFC
INT ACC AND PAYBLE CFD - FCNR(B)
INT ACC AND PAYBLE CFD - FCNR(B)
INT ACC AND PAYBLE CFD - FCNR(B)
INT ACC AND PAYBLE CFD - FCNR(B)
INT ACC AND PAYBLE CFD - FCNR(B)
INT ACC AND PAYBLE CFD - FCNR(B)
TDS PARKING ACCOUNT ON CFD INT PRO
TDS PARKING ACCOUNT ON FD INT PROV
INT ACC AND PAYBLE - OCFD BANKS- FIXED D
INT ACC AND PAYBLE - OCFD BANKS- CALL DE
INT ACC AND PBLE - OCFD OTHERS - RD NORM
INT ACC AND PAYBLE - OCFD OTHERS- UCO LA
INT ACC AND PBLE - OCFD OTHERS- LBY
INT ACC AND PBLE - OCFD OTHERS- LBY AGEN
INT ACC AND PAYBLE - OCFD OTHERS- LBY SU
INT ACC AND PBLE - OCFD OTHERS-FIXED DEP
INT ACC AND PAYBLE - OCFD OTHERS- MONEY
INT ACC AND PBLE - OCFD OTHERS- TWO WAY
INT ACC AND PBLE - OCFD OTHERS- TWO WAY
INT ACC AND PBLE-OCFDOTHERS- FLOAT RATE
INT ACC AND PAYBLE - OCFD OTHERS- CALL D
INT ACC AND PAYBLE - OCFD OTHERS- ESCROW
INT ACC AND PAYBLE - OCFD OTHERS- SDS 19
INT ACC AND PAYBLE - OCFD OTHERS- CAPITA
INT ACC AND PAYBLE - OCFD OTHERS- FIXDEP
INT ACC AND PAYBLE - NR AC OTHERS - FCNR
INT ACC AND PAYBLE - NR AC OTHERS- EEFC
INT ACC AND PAYBLE - NR AC OTHERS- NRO
INT ACC AND PAYBLE - NR AC OTHERS- NRE
INT ACC AND PAYBLE - NR AC OTHERS- RFC
INT ACC AND PAYBLE SB - SAVINGS ORDINARY
INT ACC AND PAYBLE SB - NO FRILL AC
INT ACC AND PAYBLE SB - CAPITAL GAINS SC
INT ACC AND PAYBLE SB - NRO
INT ACC AND PAYBLE SB - NRE
INT ACC AND PAYBLE SB - RFC
SUNDRY CRS - DEPOSIT UNCLAIMED ACCOUNT
SUNDRY CRS -INSURANCE PREMIUM- TAX - LOAN
SUNDRY CRS -EXPEN ON PROVISION OF CLOSI
SUNDRY CRS -EARNEST - RETENTION MONEY
SUNDRY CRS - AMT HELD IN FOREX DEALINGS
SUNDRY CRS -SLGIS (RECOVERY FROM STAFF)
SUNDRY CRS - OTHERS
SCR-SUNDRY DEPOSITS
SCR-INVOCATION CREDIT-FBG
SCR-INSTALLMENT CREDIT-DPG
SUNDRY CREDITORS-GM
FGM-SUNDRY CREDITOR
ACCOUNT NO
XXXX1016020006
XXXX1016020007
XXXX1016020008
XXXX1016021001
XXXX1016030001
XXXX1016030002
XXXX1016030003
XXXX1016030004
XXXX1016030005
XXXX1216030001
XXXX1316030001
XXXX1416030001
XXXX1616030001
XXXX1816030001
XXXX2116030001
XXXX1016050001
XXXX1016050002
XXXX1017010001
XXXX1017010002
XXXX1017020001
XXXX1017020002
XXXX1017020003
XXXX1017020004
XXXX1017020005
XXXX1017020006
XXXX1017020008
XXXX1017020009
XXXX1017020010
XXXX1017020011
XXXX1017020012
XXXX1017020013
XXXX1017020014
XXXX1017020015
XXXX1017020016
XXXX1017030001
XXXX1017030002
XXXX1017030003
XXXX1017030004
XXXX1017030005
XXXX1017040001
XXXX1017040002
XXXX1017040003
XXXX1017040004
XXXX1017040005
XXXX1017040006
XXXX1030005001
XXXX1030005002
XXXX1030005003
XXXX1030005004
XXXX1030005005
XXXX1030005006
XXXX1030005007
XXXX1030005009
XXXX1030005010
XXXX1030005011
XXXX1030005015
XXXX1030005016
16
ACCT_NAME
ZM-SUNDRY CREDITOR
SUNDRY CREDITORS - RTGS
ZO-SUNDRY CRS - INSURANCE PREMIUM TAX LOAN
ZO-SUNDRY CRS - PROVISION FOR EXPENSES
ZO-SUNDRY CRS - EARNEST - RETENTION MONEY
ZO-SUNDRY CRS - SLGIS (RECOVERY FROM STAFF)
ZO-SUNDRY CRS - OTHERS
FGMO-SUNDRY CRS - INSURANCE PREMIUM TAX LOAN
FGMO-SUNDRY CRS - PROVISION FOR EXPENSES
FGMO-SUNDRY CRS - EARNEST - RETENTION MONEY
FGMO-SUNDRY CRS - SLGIS (RECOVERY FROM STAFF)
FGMO-SUNDRY CRS - OTHERS
DEBIT NOTES ISSUED
CLEARING HOUSE ACCOUNT
MARGIN ON LC
MARGIN ON GURANTEES
MARGIN ON BILLS OTHERS
MARGIN ON BILLS OTHERS - BUILDING MARGI
MARGIN ON BILLS OTHERS - OTHERS
MARGIN ON LOANS
MARGIN ACCOUNT(SEC SOLD UNDER LAF)
BILLS REALISED-DOMESTIC
BILLS REALISED-FOREIGN
BILLS REALISED-PDC
REBATE ON BILLS DISCOUNTED-DOMESTIC
REBATE ON BILLS DISCOUNTED-FOREIGN
ADVANCE RECEIPTS
C.G.C.I. COLLECTION ACCCOUNT
SUBSIDY RESERVED FUND
TAX DEDUCTION AT SOURCE
E.C.G.C CLAIM RECEIVED
CGTSI COLLECTION ACCOUNT
BANKING CASH TXN-TAX COLLECTED
PROFESSIONAL TAX
STATE SALES TAX
CENTRAL SALES TAX
INCOME TAX
CORPORATION TAX
VALUE ADDED TAX
FRINDGE BENEFITS TAX
MISCELLANEOUS RECEIPTS
WEALTH TAX
INTEREST TAX
CENTRAL EXCISE
SERVICE TAX
UNRECONCILED BALANCE
INVESTMENT DEPRECIATION
UNDIVIDED PROFIT
PROPOSED DIVIDEND
OTHER LIABILITIES - GOVT.AC
OTHER LIABILITIES - TDS DEPOSIT AC
INTEREST SUSPENSE A/C
SERVICE TAX PAYABLE
SECURITY DEPOSIT FOR ELECTRICITY
CASH HELD UNDER CUSTODY - FRAUD - ZIMA
NO LIEN ACCOUNT
GOVERNMENT TRANSACTION ACCOUNT
ACCOUNT NO
XXXX1030005017
XXXX1030005018
XXXX1030005019
XXXX1030005020
XXXX1030005021
XXXX1030005022
XXXX1030005023
XXXX1030005024
XXXX1030005025
XXXX1030005026
XXXX1030005027
XXXX1030005028
XXXX1030010001
XXXX1030015001
XXXX1030020001
XXXX1030020002
XXXX1030025001
XXXX1030025002
XXXX1030025003
XXXX1030025004
XXXX1030025005
XXXX1030030001
XXXX1030030002
XXXX1030030003
XXXX1030035001
XXXX1030035002
XXXX1030040001
XXXX1030045001
XXXX1030055001
XXXX1030060001
XXXX1030065001
XXXX1030070001
XXXX1030075001
XXXX1030076001
XXXX1030076002
XXXX1030076003
XXXX1030076004
XXXX1030076005
XXXX1030076006
XXXX1030076007
XXXX1030076008
XXXX1030076009
XXXX1030076010
XXXX1030076011
XXXX1030076012
XXXX1030080001
XXXX1030080002
XXXX1030080004
XXXX1030080005
XXXX1030080006
XXXX1030080007
XXXX1030080008
XXXX1030080015
XXXX1030080016
XXXX1030080017
XXXX1030080018
XXXX1030080019
17
ACCT_NAME
CBDT COLLECTION ACCOUNT
UCOBANK A/C UPPER TIER BONDS ISSUE SERIE
UCO BANK A/C TIER IIBOND ISSUE SERIESIX
GBM CASH PARKING A/C
GBM CLEARING PARKING A/C
PARKING A/C FOR ISSUANCE OF DD/PAY ORDER
PARKING A/C FOR RBI RELIEF BOND INTEREST
CBDT FOCAL POINT CONSOLIDATION A/C
CBDT LINK CELL CONSOLIDATION A/C
ERROR CHALLAN TRANSACTION A/C
DROP CHALLAN A/C
CBEC COLLECTION A/C
CBEC FOCAL POINT CONSOLIDATION A/C
CBEC LINK CELL CONSOLIDATION A/C.
SALES TAX FOCAL POINT CONSOLIDATION A/C
RBI RELIEF BOND A/C
PPF COLLECTION A/C
PPF LOAN COLLECTION ACCOUNT
BEFORE TDS PARKING AC
GOVT. PENSION PAYABLE A/C
PPF FOCAL POINT CONSOLIDATION A/C
EFT RTGS SWIFT AC
ECS INWRD DEBIT SETTLEMENT ACCOUNT
ECS INWRD CREDIT SETTLEMENT ACCOUNT
ECS INWRD DEBIT RETD SUSPENSE ACCOUNT
ECS INWRD CREDIT RETD SUSPENSE ACCOUNT
RTGS TREASURY ACCOUNT
TREASURY-OUTWARD-RTGS
RECS INWARD DEBIT SETTLEMENT ACCOUNT
RECS INWARD CREDIT SETTLEMENT ACCOUNT
RECS INWARD DEBIT RETURNED SUSPENSE ACCOUNT
RECS INWARD CREDIT RETURNED SUSPENSE ACCOUNT
PANCHAYAT FUND TRANSFER ACCOUNT
OTHER LIABILITIES-OTHERS
FCNR EEFC PROCEEDS A/C
SUNDRY LIABILITIES - INTEREST CAPITALISATION
T.T.S DISCOUNTED - STATE BANK OF INDIA
T.T.S DISCOUNTED - OTHER BANKS
T.T.S DISCOUNTED - NOTIFIED BNK
T.T.S DISCOUNTED - COOPERATIVE BAK
CALL DEP REPAYABLE < = EQUAL TO 14 DAYS
CALL DEP REPBLE < EQUAL TO 14 DYS-OTHER
DRAFT ACCOUNT
CBS DRAFT ACCOUNT
UCO BANK DIVIDEND PAYABLE A/C 2009-10
UNPAID DIVIDEND A/C2009-10 OF UCO BANK
HEAD OFFICE ACCOUNT
EXTENSSION COUNTER ACCOUNT-1
EXTENSSION COUNTER ACCOUNT-2
EXTENSSION COUNTER ACCOUNT-3
EXTENSSION COUNTER ACCOUNT-4
EXTENSSION COUNTER ACCOUNT-5
MAIN BRANCH ACCOUNT
FOREIGN BRANCH ACCOUNTS
BRROWINGS FROM BRANCHES IN FGN CURR
CENTRAL OFFICE ACCOUNT
RO EXPENCES ACCOUNT
ACCOUNT NO
XXXX1030080020
XXXX1030080030
XXXX1030080031
XXXX1030081001
XXXX1030081002
XXXX1030082001
XXXX1030083001
XXXX1030084001
XXXX1030084002
XXXX1030084003
XXXX1030084004
XXXX1030084005
XXXX1030084006
XXXX1030084007
XXXX1030084008
XXXX1030084009
XXXX1030084010
XXXX1030084011
XXXX1030090001
XXXX1030095001
XXXX1030096001
XXXX1030100001
XXXX1030100002
XXXX1030100003
XXXX1030100004
XXXX1030100005
XXXX1030100006
XXXX1030100007
XXXX1030100010
XXXX1030100011
XXXX1030100012
XXXX1030100013
XXXX1030105001
XXXX1030110001
XXXX1030110002
XXXX1030111001
XXXX1031015001
XXXX1031015002
XXXX1031015003
XXXX1031015004
XXXX1031025001
XXXX1031025002
XXXX1032010001
XXXX1032011001
XXXX1032013001
XXXX1032014001
XXXX1032015001
XXXX1032016001
XXXX1032016002
XXXX1032016003
XXXX1032016004
XXXX1032016005
XXXX1032020004
XXXX1032020005
XXXX1032020006
XXXX1032020007
XXXX1032020008
18
ACCT_NAME
BANK ORDER ISSUED
BR ADJUSTMENT-OTHERS
LOCAL OR SERVICE BRANCH ACT.
FUND RECD FROM BRANCH AGAINST FCNR DEP
STAFF TRAINING COLLEGE EXPENSES A/C
CURRENCY CHEST EXPENSES ACCOUNT
SERVICE BRANCH EXPENSES ACCOUNT
LEAD BANK OFFICE EXPENSES ACCOUNT
INTER CBS BR COLL PARKING ACCOUNT
INTER CBS BR CRT PARKING ACCOUNT
INTER CBS BR FUND TRF PARKING ACCOUNT
CASH IN HAND (EXCLUDING FGN.CURRENCY)
ATM CASH
ATM CASH OTHERS
ATM CASH 2
ATM CASH 3
ATM CASH 4
HEAD CASHIER
HEAD CASHIER 2
TELLER 1
TELLER 2
TELLER 3
TELLER 4
TELLER 5
TELLER 6
TELLER 7
TELLER 8
TELLER 9
CURRENCY CHEST TRANSFER AC
DUE TO ATM(OTHER)
CASH REMITTANCE IN TRANSIT
BAL WITH RBI - IN CURRENT ACCOUNTS
BAL WITH RBI - REPO ACCOUNT
BAL WITH RBI - REPO PRICE ADJUSTMENT ACC
BAL WITH RBI - MONETARY AUTHORITY
BAL WITH RBI - IN OTHER ACCOUNTS
BALANCE WITH RBI - NFS ACCOUNT
BAL WITH OTHER BANKS CCA - SBI
BAL WITH OTHER BANKS CCA - CO-OP BANKS
BAL WITH OTHER BANKS CCA - NOTIFIED BANK
BAL WITH OTHER BKS CCA - OTHER COMMERCIA
BAL WITH OTHER BANKS DEP AC - SBI
BAL WITH OTHER BANKS DEP AC -CO-OP BANKS
BAL WITH OTHER BANKS DEP AC - NOTIFIED B
BAL WITH OTHER BANKS DEP AC - OTH COMMER
BAL IN CURR AC - UCOBANK SINGAPORE
BAL IN CURR AC - AMERICAN EXP NY US$
BAL IN CURR AC - UNION BANK OF CALIFORNI
BAL IN CURR AC - AMERICAN EXP NY US$
BAL IN CURR AC - HSBC NEW YORK-USD
BAL IN CURR AC - STAND AND CHART NY -USD
BAL IN CURR AC -WACHIABIA BANK NY USD
BAL IN CURR AC - AMERICAN EXP NY EURO
BAL IN CURR AC - AMERICAN EXP GMBH EURO
BAL IN CURR AC - AMERICAN EXP (FRANKFURT
BAL IN CURR AC - B.N.P PARIS - EURO
BAL IN CURR AC - BANKA INTESA - EURO
ACCOUNT NO
XXXX1032020012
XXXX1032020013
XXXX1032020014
XXXX1032020015
XXXX1032020018
XXXX1032020019
XXXX1032020021
XXXX1032020022
XXXX1032200001
XXXX1032210001
XXXX1032220001
XXXX1040010001
XXXX1040010002
XXXX1040010003
XXXX1040010005
XXXX1040010006
XXXX1040010007
XXXX1040010011
XXXX1040010012
XXXX1040010021
XXXX1040010022
XXXX1040010023
XXXX1040010024
XXXX1040010025
XXXX1040010026
XXXX1040010027
XXXX1040010028
XXXX1040010029
XXXX1040015001
XXXX1040015003
XXXX1040020001
XXXX1040030001
XXXX1040030002
XXXX1040030003
XXXX1040030004
XXXX1040030005
XXXX1040030007
XXXX1040040001
XXXX1040040002
XXXX1040040003
XXXX1040040004
XXXX1040050001
XXXX1040050002
XXXX1040050003
XXXX1040050004
XXXX1140070019
XXXX1240070001
XXXX1240070003
XXXX1240070007
XXXX1240070012
XXXX1240070016
XXXX1240070022
XXXX1340070002
XXXX1340070006
XXXX1340070008
XXXX1340070010
XXXX1340070018
19
ACCT_NAME
BAL IN CURR AC - JAPAN CREDIT AND SWISS
BAL IN CURR AC - UNION BANK OF SWITZERLA
BAL IN CURR AC - HSBC LONDON - GBP
BAL IN CURR AC - UCOBANK HONKONG
BAL IN CURR AC - STAND AND CHART DHAKA
BAL IN CURR AC - ANZ BANKING CORP AUD
BAL IN CURR AC - ROYAL BANK OF CANADA
BAL IN CURR AC - SKANDINAVISAKA ENSKILDA
BAL IN- MASHREQ BANK, DUBAI
SAAL (STICKY ADV AC LED)
PDPB(PAST DUE PROTESTED BILS ACCOUNT)
DEFAULTED BANK GUARANTEEBG PAID BY BANK
BAD AND DOUBTFUL
STAFF TL - VEHICLE
STAFF TL - HOUSING
TL OTHERS - PMEGP SUBSIDY
TL OTHERS - PMRY SUBSIDY
TL OTHERS - SGSY SUBSIDY
TL OTHERS - SJSRY SUBSIDY
TL OTHERS - SLRS SUBSIDY
TL OTHERS - KVIC SUBSIDY
TL - OTHER LOANS
MEMORANDUM AC LOAN CHARGE OFF
ADVANCE BILLS PURCHASED
OVERDUE CRYSTALISED EXP BILLS
OVERDUE IMPORT FGN BILL REALISABLE A/C
OVERDUE EXPORTBILLS REALISABLE ACCOUNT
ADV AGNST BILLS SENT FOR COLL
PAST DUE AND DISHONOURED BILLS
OTHER BANK DD OR TTS PURCHASED
BILLS PURCHASED AC-OTHERS
IDBI BILLS DISCOUNTED
EXPORT BILLS DISCOUNTED
BILL PURCH AND DISC- OTHER
FUND IN TRANSIT
IBCN PAID ACCOUNT
LENDING TO NODAL BRANCHES IN FOREIGN CCY
FCNR DEP LENT TO CONTROL BRANCH
UNADJUSTED LOSSES-OVERSEAS
INTER BRANCH PAYMENT ACCOUNT
ATM TXN RECEIVABLE ACCOUNT FROM TREASURY
TREASURY ADJUSTMENT AC-NEW
TREASURY ADJUSTMENT AC-NEW
LAND - BUILDING - PREMISES
LAND OR BUILDG ADDITIONAL OR ALTERATION
MOC - LAND BUILDING PREMISES
MOTOR VEHICLES
MOC - MOTOR VEHICLES
FURNITURE AND FIXTURE
CYCLE
OFFICE EQUIPMENT
COMPUTER
MACHINERY
MOC - FURNITURE FIXTURES AND EQUIPMENTS
STAMPS
STATIONERY
INT ACC AND RECEIBLE ON ADV - OVERDRAFT
ACCOUNT NO
XXXX1540070013
XXXX1540070017
XXXX1640070011
XXXX1740070020
XXXX1840070005
XXXX1840070009
XXXX2140070014
XXXX2240070015
XXXX2340070028
XXXX1043005001
XXXX1043010001
XXXX1043015001
XXXX1043020001
XXXX1047010001
XXXX1047015001
XXXX1047103001
XXXX1047160001
XXXX1047165001
XXXX1047170001
XXXX1047175001
XXXX1047180001
XXXX1047200001
XXXX1047998001
XXXX1048025001
XXXX1048030001
XXXX1048030003
XXXX1048030004
XXXX1048035001
XXXX1048040001
XXXX1048045001
XXXX1048050001
XXXX1048050002
XXXX1048050003
XXXX1048050001
XXXX1060115008
XXXX1060115009
XXXX1060115010
XXXX1060115019
XXXX1060115020
XXXX1060115023
XXXX1060115024
XXXX1060140001
XXXX2360140001
XXXX1061010001
XXXX1061010002
XXXX1061010003
XXXX1061020001
XXXX1061020002
XXXX1061030001
XXXX1061030002
XXXX1061030003
XXXX1061030004
XXXX1061030005
XXXX1061030006
XXXX1062010001
XXXX1062010002
XXXX1063010001
20
ACCT_NAME
INT ACC AND RECEIBLE ON ADV - CASH CREDI
INT ACC AND RECEIBLE ON ADV - LOANS
INT ACC AND RECEIBLE ON ADV - BILLS
INT ACC AND RECBLE ON EXPORT CREDITS
INT ACC AND RECBLE FROM CREDIT INSTITUTI
COMMITMENT CHARGES ACC AND RECBLE
INT ACC AND RECEIVABLE - OTHER INTEREST
SUNDRY DRS - FESTIVAL ADVANCE OLD ENTRIES
SUNDRY DRS - OTHER STAFF ADVANCE
SUNDRY DRS - LEGAL EXPENSES
SUNDRY DRS - OTHER REVENUE ITEMS
SUNDRY DRS - SECURITY DEPOSIT
SUNDRY DRS - ADVANCES TO SUPPLIERS
SUNDRY DRS - PAYMENT ON AC OF FRAUD
SUNDRY DRS - CLEARING DIFFERENCE
SUNDRY DRS - DACOITY
SUNDRY DRS - CASH SHORTAGE
SUNDRY DRS - OTHERS
HEAD OFFICE - MANAGERS CHEQUE ACCOUNT
SUNDRY DRS -GM
FGM-SUNDRY DRS
ZM-SUNDRY DRS
SUNDRY DRS - SECURITY DEPOSIT FOR TELEPHONE
SUNDRY DRS - ADVANCE RENT PAID TO LANDLORD
SUNDRY DRS - ACCRUED NON INTEREST INCOME
ZO-SUNDRY DRS - FESTIVAL ADVANCE OLD ENTRIES
ZO-SUNDRY DRS - OTHER STAFF ADVANCE
ZO-SUNDRY DRS - LEGAL EXPENSES
ZO-SUNDRY DRS - OTHER REVENUE ITEMS
ZO-SUNDRY DRS - SECURITY DEPOSIT
ZO-SUNDRY DRS - ADVANCES TO SUPPLIERS
ZO-SUNDRY DRS - OTHERS
ZO-SUNDRY DRS - SECURITY DEPOSIT FOR TELEPHONE
ZO-SUNDRY DRS - ADVANCE RENT PAID TO LANDLORD
FGMO-SUNDRY DRS - FESTIVAL ADVANCE OLD ENTRIES
FGMO-SUNDRY DRS - OTHER STAFF ADVANCE
FGMO-SUNDRY DRS - LEGAL EXPENSES
FGMO-SUNDRY DRS - OTHER REVENUE ITEMS
FGMO-SUNDRY DRS - SECURITY DEPOSIT
FGMO-SUNDRY DRS - ADVANCES TO SUPPLIERS
FGMO-SUNDRY DRS - OTHERS
FGMO-SUNDRY DRS - SECURITY DEPOSIT FOR TELEPHONE
FGMO-SUNDRY DRS - ADVANCE RENT PAID TO LANDLORD
DEBIT NOTE RECEIEVABLE AC
CLEARING HOUSE ACC
OTHER BANKS DDS OR TTS PAID
CDS(ITP) REPAYMENT
GOVT PENSION PAID
GOVT.PENSION PAID ,INK BRANCH
INTEREST PAID ON SPECIAL DEPOSITS
STAFF PENSION PAYMENT AC
FOREIGN CURRENCY IN HAND
BANK ORDER PAID
INTEREST RECEIVABLE
TURNOVER COMMISSION RECEIVABLE
SERVICE CHARGES RECEIVABLE
EXCHANGE AND COMMISSION RECEIVABLE
ACCOUNT NO
XXXX1063010002
XXXX1063010003
XXXX1063010004
XXXX1063020001
XXXX1063020002
XXXX1063020003
XXXX1063050001
XXXX1064005001
XXXX1064005002
XXXX1064005003
XXXX1064005004
XXXX1064005005
XXXX1064005006
XXXX1064005007
XXXX1064005008
XXXX1064005009
XXXX1064005010
XXXX1064005011
XXXX1064005012
XXXX1064005013
XXXX1064005014
XXXX1064005015
XXXX1064005016
XXXX1064005017
XXXX1064005018
XXXX1064005019
XXXX1064005020
XXXX1064005021
XXXX1064005022
XXXX1064005023
XXXX1064005024
XXXX1064005025
XXXX1064005026
XXXX1064005027
XXXX1064005028
XXXX1064005029
XXXX1064005030
XXXX1064005031
XXXX1064005032
XXXX1064005033
XXXX1064005034
XXXX1064005035
XXXX1064005036
XXXX1064010001
XXXX1064015001
XXXX1064020001
XXXX1064025001
XXXX1064030001
XXXX1064030002
XXXX1064035001
XXXX1064040001
XXXX1064042001
XXXX1064045001
XXXX1064050001
XXXX1064050002
XXXX1064050003
XXXX1064050004
21
ACCT_NAME
RBI BOND REPAYMENT RECEIVABLE
RECEIVABLE FROM GOVERNMENT
INT.SUBSIDYRECEIVABLE FROM GOVT ON ST CR
INCENTIVE RECEIVABLE FROM GOI FOR PROMPT PAYMENT
NON BANKING ASSETS
STAFF ADVANCE NON INTEREST BEARING
ZM-FESTIVAL ADVANCE
LC BG CHRG RECOVERABLE
UNRECONCILED BALANCE AC
LAND AND BUILDING ADDITION OR ALTERATION
I TAX ON GOVT AND OTHER SECURITIES
TDS ACCOUNT
SUBSIDIES DUE AND RECEIVABLE
ADVANCE RENT PAID
TT SUSPENCE ACCOUNT
OTHER ASSETS - OTHERS
SERVICECTAX PAID
TDS SUSPENSE ACCOUNT-LIC/NICL
FGM OFFICE EXPENSE ACCOUNT
PREPAID EXPENSES
ADWDR-RECEIVABLE FROM GOVT
PENALTY PAID
PENAL INTEREST PAID
ADW-230 RECEIVABLE FROM GOVT
ADW-231 RECEIVABLE FROM GOVT
WUMT RECEIVABLE ACCOUNT
EBW ADJUSTMENT A/C
INTT. SUBVENTION ON RUPEE EXPORT CREDIT
ERROR CHALLAN COLLECTION A/C
ERROR CHALLAN NODAL BRANCH COLLECTION A/
ERROR CHALLAN LINK BRANCH COLLECTION A/
PPF SUSPENSE A/C
PPF LOAN DISBURSEMENT A/C
GM EXPENSES ACCOUNT
REGIONAL RURAL BANKS
BANK OF INDIA - MCX SETTLEMENT ACCOUNT
MCX - CASH MARGIN ( LIQUID NET WORTH )
INTEREST PAID ON DEPOSIT-BANKS - KUBER Y
INTEREST PAID ON DEP-CFD - KUBER YOJANA
INTEREST PAID ON DEP- FLEXIBLE FIXED DEP
INTEREST PAID ON DEP - FLOATING RATE DEP
INTEREST PAID ON DEP - UCO DIAMOND DEPOS
INTEREST PAID ON DEP- LAKHPATI SCHEME
INTEREST PAID ON DEP - MONEY MULTIPLIER
INTEREST PAID ON DEP- CAPITAL GAINS-CFD
INTEREST PAID ON DEP- CERT OF DEP
MANUAL INTT PAID ON DEP - KY
MANUAL INTT PAID ON DEP - LAKHPATI SCHEME
MANUAL INTT PAID ON DEP - MONEY MULTIPLIER
MANUAL INTT PAID ON DEP - DEPSOIT CERTIFICATE
INTEREST PAID ON DEP - MONEY MULTIPLIER
INTEREST PAID ON DEP- CAPITAL GAINS-CFD
INTEREST PAID ON DEP- CERT OF DEP
INTEREST PAID ON OVERDUE FIXED DEPOSIT
MANUAL INTT PAID ON DEP - ODFD
INTEREST PAID ON DEP-CFD - FCNR(B)
INTEREST PAID ON DEP-CFD - NRNR
ACCOUNT NO
XXXX1064050005
XXXX1064050006
XXXX1064050007
XXXX1064050008
XXXX1064052001
XXXX1064055001
XXXX1064055002
XXXX1064056001
XXXX1064065004
XXXX1064065005
XXXX1064065010
XXXX1064065011
XXXX1064065014
XXXX1064065015
XXXX1064065018
XXXX1064065020
XXXX1064065023
XXXX1064065024
XXXX1064065025
XXXX1064065026
XXXX1064065028
XXXX1064065029
XXXX1064065030
XXXX1064065031
XXXX1064065032
XXXX1064065033
XXXX1164065027
XXXX1064076001
XXXX1064085001
XXXX1064085002
XXXX1064085003
XXXX1064086001
XXXX1064086002
XXXX1064087001
XXXX1065046001
XXXX1065105001
XXXX1065110001
XXXX1070010001
XXXX1070020002
XXXX1070020003
XXXX1070020004
XXXX1070020005
XXXX1070020006
XXXX1070020007
XXXX1070020008
XXXX1070020009
XXXX1070020010
XXXX1070020011
XXXX1070020012
XXXX1070020013
XXXX1170020007
XXXX1270020008
XXXX1370020009
XXXX1070021001
XXXX1070021002
XXXX1070030001
XXXX1070030002
22
ACCT_NAME
INTEREST PAID ON DEP-CFD - NRO
INTEREST PAID ON DEP-CFD - NRE
INTEREST PAID ON DEP - RFC
INT PAID ON DEP-OCFD-BANKS- FIXED DEPOSI
INT PAID ON DEP-OCFD-BANKS - CALL DEPOS
INT PAID ON DEP-RD-NORMAL
INT PAID ON DEP - UCO LAKSHMI
INT PAID ON DEP - LAGHU BACHAT YOJANA
INT PAID ON DEP - LBY AGENTS SECURITY DE
INT PAID ON DEP- LBY SUSPENSE ACCOUNTS
INT PAID ON DEP - FIXED DEPOSIT RECEIPT
INT PAID ON DEP - DEPOSIT CERTIFICATE
INT PAID ON DEP - MONEY BACK RD
INT PAID ON DEP - TWO WAY DEPOSIT SCHEME
INT PAID ON DEP - TWO WAY DEPOSIT SCHEME
INT PAID ON DEP - FLOATING RATE DEP SCH
INT PAID ON DEP- CALL DEPOSIT
INT PAID ON DEP - ESCROW ACCOUNT
INT PAID ON DEP- SDS 1975
INT PAID ON DEP- CAPITAL GAINS-OCFD
INT PAID ON DEP- FIXED DEP REC QTY
MANUAL INTT PAID ON DEP - FD
MANUAL INTT PAID ON DEP - RD
MANUAL INTT PAID ON DEP - LBY
MANUAL INTT PAID ON DEP - CALL DEPOSIT
INT PAID ON DEP- CAPITAL GAINS-OCFD
INT PAID ON DEP- FIXED DEP REC QTY
INT PAID ON DEP-OCFD - FCNR(B)
INT PAID ON DEP OCFD - EEFC
INT PAID ON DEP OCFD - NRO
INT PAID ON DEP OCFD - NRE
INT PAID ON DEP OCFD - RFC
MANUAL INTT PAID ON DEP - OCFD - NRE
SB INT PAID - SAVINGS ORDINARY
SB INT PAID - NO FRILL AC
SB INT PAID - CAPITAL GAINS SCHEME
SB INT PAID - NRO
SB INT PAID - NRE
SB INT PAID - RFC
MANUAL INTT PAID - SAVINGS ORDINARY
MANUAL INTT PAID - SAVINGS NRO
MANUAL INTT PAID - SAVINGS NRE
INT PAID - RBI OR INTER BANK BORROWING
INT PAID MONEY AT CALL - EXIM BANK
INT PAID MONEY AT CALL - IDBI
INT PAID MONEY AT CALL - NABARD
INT PAID MONEY AT CALL - NHB
INT PAID MONEY AT CALL - RBI REPO
INT PAID MONEY AT CALL - RBI REVERSE REP
INT PAID MONEY AT CALL - SIDBI
INTEREST PAID -DEFHI
INTEREST PAID -REPO
INTEREST PAID ON IRS ACCOUNT
INT PAID T.T.S DISCOUNTED
INTEREST PAID-OTHERS
COMMISSION AND EXCHANGE PAID
BROKERAGE PAID
ACCOUNT NO
XXXX1070030003
XXXX1070030004
XXXX1070030005
XXXX1071010001
XXXX1071010002
XXXX1071020001
XXXX1071020002
XXXX1071020003
XXXX1071020004
XXXX1071020005
XXXX1071020006
XXXX1071020007
XXXX1071020008
XXXX1071020009
XXXX1071020010
XXXX1071020011
XXXX1071020012
XXXX1071020013
XXXX1071020014
XXXX1071020015
XXXX1071020016
XXXX1071020017
XXXX1071020018
XXXX1071020019
XXXX1071020020
XXXX1171020015
XXXX1271020016
XXXX1071030001
XXXX1071030002
XXXX1071030003
XXXX1071030004
XXXX1071030005
XXXX1071030006
XXXX1071040001
XXXX1071040002
XXXX1071040003
XXXX1071040004
XXXX1071040005
XXXX1071040006
XXXX1071040007
XXXX1071040008
XXXX1071040009
XXXX1072010001
XXXX1072020001
XXXX1072020002
XXXX1072020003
XXXX1072020004
XXXX1072020005
XXXX1072020006
XXXX1072020007
XXXX1072020008
XXXX1072020009
XXXX1072020010
XXXX1072030001
XXXX1072060003
XXXX1073100001
XXXX1073100002
23
ACCT_NAME
SERVICE TAX - COMMISSION AND EXCHANGE PAID
SERVICE TAX - BROKERAGE PAID
SALARIES AND ALLOWANCES
OVERTIME ALLOWANCE
HALF-YEARLY ALLOWANCE
BANKS CONTB TO PF
LEAVE FARE CONCESSION
MEDICAL EXPENSES
STAFF WELFARE EXPENSES
BONUS PAID
EXGRATIA PAID
PENSION PAID
PROFESSION FEES
ADHOC SALARY AND ALLOWANCES PAID-OFFICE
ADHOC PROVIDENT FUND PAID-OFFICERS
STAFF WELFARE SCHEME EXPENSES
STAFF WELFARE SCH EXPNS SCHOLARSHIP
FGM-SALARY AND ALLOWANCE
FGM-OVERTIME ALLOWANCE
FGM-HALF YEARLY ALLOWANCE
FGM-BANKS CONTB TO PF
FGM-LEAVE FARE CONCESSION
FGM-MEDICAL EXPENSES
FGM-STAFF WELFARE EXPENSES
FGM-BONUS PAID
FGM-STAFF WELFARE EXPENSES EXCEPT SCHOLA
FGM-STAFF WELFARE SCH EXPNS SCHOLARSHIP
LEAVE ENCASHMENT PAID
FGM - LEAVE ENCASHMENT PAID
SERVICE TAX - STAFF WELFARE EXPENSES
SERVICE TAX - FGM-STAFF WELFARE EXPENSES
ZO - ADHOC SALARY REVISION FOR OFFICERS
ZO - ADHOC BCPF SALARY REVISION FOR OFFICERS
FGM - ADHOC SALARY REVISION FOR OFFICERS
FGM - ADHOC BCPF SALARY REVISION FOR OFFICERS
RENT PAID -OFFICE
RENT PAID -RESIDENCE
TAXES
TURN OVER TAX PAID
LIGHTING AND ELEC (INCLUDING GENERATOR C
IT PAID ON GOVT AND OTHER SECURITIES
FGM-RENT PAID -OFFICE
FGM-RENT PAID -RESIDENCE
FGM-TAXES
FGM-LIGHTING AND ELEC (INCLUDING GENERAT
SERVICE TAX - RENT PAID - OFFICE
SERVICE TAX - FGM-RENT PAID -OFFICE
SERVICE TAX - LIGHTING AND ELEC (INCLUDING GENERATOR C
SERVICE TAX - FGM-LIGHTING AND ELEC (INCLUDING GENERAT
INSURANCE
LAW CHARGES
POSTAGE
TELEGRAM AND TELEPHONES
STAMPS
COURIER
FGM-INSURANCE
FGM-LAW CHARGES
ACCOUNT NO
XXXX1073100004
XXXX1073100005
XXXX1074100001
XXXX1074100002
XXXX1074100003
XXXX1074100004
XXXX1074100005
XXXX1074100006
XXXX1074100007
XXXX1074100008
XXXX1074100009
XXXX1074100010
XXXX1074100011
XXXX1074100012
XXXX1074100013
XXXX1074100014
XXXX1074100015
XXXX1074100016
XXXX1074100017
XXXX1074100018
XXXX1074100019
XXXX1074100020
XXXX1074100021
XXXX1074100022
XXXX1074100023
XXXX1074100024
XXXX1074100025
XXXX1074100026
XXXX1074100027
XXXX1074100028
XXXX1074100029
XXXX1074100030
XXXX1074100031
XXXX1074100032
XXXX1074100033
XXXX1075010001
XXXX1075010002
XXXX1075010003
XXXX1075010004
XXXX1075010005
XXXX1075010006
XXXX1075010007
XXXX1075010008
XXXX1075010009
XXXX1075010010
XXXX1075010011
XXXX1075010012
XXXX1075010013
XXXX1075010014
XXXX1075020001
XXXX1075020002
XXXX1075020003
XXXX1075020004
XXXX1075020005
XXXX1075020007
XXXX1075020009
XXXX1075020010
24
ACCT_NAME
FGM-POSTAGE
FGM-TELEGRAM AND TELEPHONES
FGM-STAMPS
FGM-COURIER
SERVICE TAX - INSURANCE
SERVICE TAX - FGM-INSURANCE
SERVICE TAX - TELEGRAM AND TELEPHONES
SERVICE TAX - FGM-TELEGRAM AND TELEPHONES
SERVICE TAX - COURIER
SERVICE TAX - FGM-COURIER
SERVICE TAX - POSTAGE
SERVICE TAX - FGM-POSTAGE
SERVICE TAX - LAW CHARGES
SERVICE TAX - FGM-LAW CHARGES
REPAIRS TO BANKS PROPERTY
STATIONERY AND PRINTING
ADVAERTISING AND PUBLICITY
DEPRICIATION TO BANKS PROPERTY
DIRECTORS FEES ALLOWANCES AND EXPENSES
AUDITORS FEES ALLOWANCES AND EXPENSES
AUDITORS TA AND OTHER EXPENSES
FGM-REPAIRS TO BANKS PROPERTY
FGM-STATIONERY AND PRINTING
FGM-ADVAERTISING AND PUBLICITY
FGM-AUDITORS FEES ALLOWANCES AND EXPENS
FGM-AUDITORS TA AND OTHER EXPENSES
SERVICE TAX - ADVERTISING AND PUBLICITY
SERVICE TAX - FGM-ADVERTISING AND PUBLICITY
SERVICE TAX - AUDITORS FEES ALLOWANCES AND EXPENSES
SERVICE TAX - FGM AUDITORS FEES ALLOWANCES AND EXPENS
SERVICE TAX - AUDITORS TA AND OTHER EXPENSES
SERVICE TAX - FGM AUDITORS TA AND OTHER EXPENSES
SERVICE TAX - REPAIRS TO BANKS PROPERTY
SERVICE TAX - FGM-REPAIRS TO BANKS PROPERTY
SERVICE TAX - STATIONERY AND PRINTING
SERVICE TAX - FGM-STATIONERY AND PRINTING
TRAVELLING EXPNS -STAFF BOARDING LODG D
TRAVELLING EXPENSES-OTHERS
ENTERTAINMENT EXPENSES
CONVEYANCE EXPENSES
MOTOR CAR OR VEHICLE EXPENSES
DONATIONS
NEWSPAPER OR JOURNAL
TRAVELLING EXPNS -STF OTH THAN BOARD LO
FGM-TRAVELLING EXPNS -STAFF BOARDING LO
FGM-TRAVELLING EXPENSES-OTHERS
FGM-ENTERTAINMENT EXPENSES
FGM-CONVEYANCE EXPENSES
FGM-MOTOR CAR OR VEHICLE EXPENSES
FGM-DONATIONS
FGM-NEWSPAPER OR JOURNAL
FGM-TRAVELLING EXPNS -STF OTH THAN BOAR
NEWS PAPER TO STAFF
PERFORMANCE INCENTIVE
SERVICE TAX - TRAVELLING EXPNS -STAFF BOARDING LODG D
SERVICE TAX - FGM-TRAVELLING EXPNS -STAFF BOARDING LO
SERVICE TAX - TRAVELLING EXPNS -STF OTH THAN BOARD LO
ACCOUNT NO
XXXX1075020011
XXXX1075020012
XXXX1075020013
XXXX1075020014
XXXX1075020015
XXXX1075020016
XXXX1075020017
XXXX1075020018
XXXX1075020019
XXXX1075020020
XXXX1075020021
XXXX1075020022
XXXX1075020023
XXXX1075020024
XXXX1075030001
XXXX1075030002
XXXX1075030003
XXXX1075030004
XXXX1075030005
XXXX1075030006
XXXX1075030007
XXXX1075030008
XXXX1075030009
XXXX1075030010
XXXX1075030011
XXXX1075030012
XXXX1075030013
XXXX1075030014
XXXX1075030015
XXXX1075030016
XXXX1075030017
XXXX1075030018
XXXX1075030019
XXXX1075030020
XXXX1075030021
XXXX1075030022
XXXX1075040001
XXXX1075040002
XXXX1075040003
XXXX1075040004
XXXX1075040005
XXXX1075040006
XXXX1075040007
XXXX1075040008
XXXX1075040009
XXXX1075040010
XXXX1075040011
XXXX1075040012
XXXX1075040013
XXXX1075040014
XXXX1075040015
XXXX1075040016
XXXX1075040017
XXXX1075040018
XXXX1075040019
XXXX1075040020
XXXX1075040021
25
ACCT_NAME
SERVICE TAX - FGM-TRAVELLING EXPNS -STF OTH THAN BOAR
SERVICE TAX - TRAVELLING EXPENSES-OTHERS
SERVICE TAX - FGM-TRAVELLING EXPENSES-OTHERS
SERVICE TAX - ENTERTAINMENT EXPENSES
SERVICE TAX - FGM-ENTERTAINMENT EXPENSES
SERVICE TAX - CONVEYANCE EXPENSES
SERVICE TAX - FGM-CONVEYANCE EXPENSES
SERVICE TAX - MOTOR CAR OR VEHICLE EXPENSES
SERVICE TAX - FGM-MOTOR CAR OR VEHICLE EXPENSES
AMC AND OTHER MAINTAINANCE EXP
ECGC GUARANTEE COMM
EXPENSES FOR CASH REMITTANCE
EXPENSES FOR ATTEND CLGS
FREIGHT CARTAGE COOLIE CHGS FOR STY AN
SANITATION EXPENSES
MEETING EXPENSES
CLEARING HOUSE EXPENSES
CHARGES FOR MICR CLG
EXP RELATING TO RECOVERY CAMP
RESIDUAL EXPENSES
OTHER MAINTENANCE EXPENSES
WASHING ALLOWANCE
CYCLE ALLOWANCE
XEROX AND PHOTOCOPY CHARGES
FUNCTION FESTIVAL CELEBRATION EXPENSES
SECURITY GUARD EXPENSES POLICE ESCORT CH
CLOTH FOR JEWELL BAG
CHARGES FOR FILING TAX RETURNS
HIRING CHARGES FOR VEHICLE OTHER THAN CR
NON CREDIT WRITE OFF APPROAVED BY HO RO
LOCKER BREAK OPEN CHARGES
FUEL CHARCOAL FIRE WOOD CHARGES
EXPENSES FOR DAILY NEED ESSENTIAL ITEMS
EXPENSES RELATIG TO CLOSING OF ACCOUNTS
CONSOLIDATED EXPNS. TO FULL TIME PART TI
OUTSOURCING DATA ENTRY CHARGES
FGM-AMC AND OTHER MAINTAINANCE EXP
FGM-FREIGHT CARTAGE COOLIE CHGS FOR ST
FGM-SANITATION EXPENSES
FGM-MEETING EXPENSES
FGM-EXP RELATING TO RECOVERY CAMP
FGM-OTHER MAINTENANCE EXPENSES
FGM-XEROX AND PHOTOCOPY CHARGES
FGM-FUNCTION FESTIVAL CELEBRATION EXPENS
FGM-CHARGES FOR FILING TAX RETURNS
FGM-HIRING CHARGES FOR VEHICLE OTHER THA
FGM-NON CREDIT WRITE OFF APPROAVED BY H
FGM-FUEL CHARCOAL FIRE WOOD CHARGES
FGM-EXPENSES FOR DAILY NEED ESSENTIAL IT
FGM-EXPENSES RELATIG TO CLOSING OF ACCOU
FGM-CONSOLIDATED EXPNS. TO FULL TIME PAR
FGM-OUTSOURCING DATA ENTRY CHARGES
FGM-RESIDUAL EXPENSES
SERVICES CHARGES ATM SHARING SBI
SERVICES CHARGES ATM SHARING MITR
SERVICES CHARGES ATM SHARING NFS
NFS SETTLEMENT CHARGES PAID ACCOUNT
ACCOUNT NO
XXXX1075040022
XXXX1075040023
XXXX1075040024
XXXX1075040025
XXXX1075040026
XXXX1075040027
XXXX1075040028
XXXX1075040029
XXXX1075040030
XXXX1075050001
XXXX1075050002
XXXX1075050003
XXXX1075050004
XXXX1075050005
XXXX1075050006
XXXX1075050007
XXXX1075050008
XXXX1075050009
XXXX1075050010
XXXX1075050011
XXXX1075050024
XXXX1075050025
XXXX1075050026
XXXX1075050027
XXXX1075050028
XXXX1075050029
XXXX1075050030
XXXX1075050031
XXXX1075050032
XXXX1075050033
XXXX1075050034
XXXX1075050035
XXXX1075050036
XXXX1075050037
XXXX1075050038
XXXX1075050039
XXXX1075050040
XXXX1075050041
XXXX1075050042
XXXX1075050043
XXXX1075050044
XXXX1075050045
XXXX1075050046
XXXX1075050047
XXXX1075050048
XXXX1075050049
XXXX1075050050
XXXX1075050051
XXXX1075050052
XXXX1075050053
XXXX1075050054
XXXX1075050055
XXXX1075050056
XXXX1075050057
XXXX1075050058
XXXX1075050059
XXXX1075050060
26
ACCT_NAME
NFS INTERCHANGE CHARGES ACCOUNT
BUSINESS DEVELOPMENT EXPENSES
SERVICE TAX - AMC AND OTHER MAINTAINANCE EXP
SERVICE TAX - FGM-AMC AND OTHER MAINTAINANCE EXP
SERVICE TAX - MEETING EXPENSES
SERVICE TAX - FGM-MEETING EXPENSES
SERVICE TAX - CLEARING HOUSE EXPENSES
SERVICE TAX - RESIDUAL EXPENSES
SERVICE TAX - FGM-RESIDUAL EXPENSES
SERVICE TAX - CHARGES FOR MICR CLG
SERVICE TAX - OTHER MAINTENANCE EXPENSES
SERVICE TAX - FGM-OTHER MAINTENANCE EXPENSES
SERVICE TAX - SECURITY GUARD EXPENSES POLICE ESCORT CH
SERVICE TAX - HIRING CHARGES FOR VEHICLE OTHER THAN CR
SERVICE TAX - FGM-HIRING CHARGES FOR VEHICLE OTHER THA
SERVICE TAX - OUTSOURCING DATA ENTRY CHARGES
SERVICE TAX - FGM - OUTSOURCING DATA ENTRY CHARGES
SERVICE TAX - FUNCTION FESTIVAL CELEBRATION EXPENSES
SERVICE TAX - FGM-FUNCTION FESTIVAL CELEBRATION EXPENS
SERVICE TAX - CHARGES FOR FILING TAX RETURNS
SERVICE TAX - FGM-CHARGES FOR FILING TAX RETURNS
SERVICE TAX - BUSINESS DEVELOPMENT EXPENSES
INT INCOME ON ADVANCES - OVERDRAFT
INT INCOME ON ADVANCES - CASH CREDITS
INT INCOME ON ADVANCES - LOANS
INT INCOME ON ADVANCES - BILLS
MANUAL INTT - OD
MANUAL INTT - CC
MANUAL INTT - LOANS
MANUAL INTT - BILLS
INTESEST INCOME ON EXPORT CREDITS
INTEREST INCOME FROM CREDIT INSTITUTION
INC FROM COMMITMENT CHARGES
MANUAL INTT ON EXPORT CREDIT
MANUAL INTT FROM CR INSTITUTION
MANUAL COMMITMENT CHARGES
SERVICE TAX - MANUAL COMMITMENT CHARGES
DISCOUNT INC ON BILLS (OTHER THAN EXPORT
DISCOUNT INC ON EXPORT CREDIT
DISCOUNT INC FROM CREDIT INSTITUTIONS
DISCOUNT INC ON CBLO AC
MANUAL DISCOUNT INCOME ON BILLS (OTH THAN EXPORT CR)
MANUAL DISCOUNT INC ON EXPORT CREDIT
MANUAL DISCOUNT INCOME FROM CR INSTITUTIONS
INT ON ADV AND BILLS OTH THAN CR - OTHER
INTEREST RECEIVED-OTH-IBPC
COMMITMENT CHARGES
SERVICE TAX - COMMITMENT CHARGES
COMM AND BROKGE - INLAND REMITTANCE
COMM AND BROKGE - INLAND COLLECTION
COMM AND BROKGE - INLAND LC
COMM AND BROKGE - INLAND GUARANTEE ISSUE
COMM AND BROKGE - INLAND - OTHERS
COMM AND BROKGE - INLAND BANCASSURANCE(L
COMM AND BROKGE - INLAND BANCASSURANCE (
COMM AND BROKGE - MUTUAL FUND BUSINESS
COMM AND BROKGE - WESTERN UNION MONEY
ACCOUNT NO
XXXX1075050061
XXXX1075050062
XXXX1075050063
XXXX1075050064
XXXX1075050065
XXXX1075050066
XXXX1075050067
XXXX1075050068
XXXX1075050069
XXXX1075050070
XXXX1075050071
XXXX1075050072
XXXX1075050073
XXXX1075050074
XXXX1075050075
XXXX1075050076
XXXX1075050077
XXXX1075050078
XXXX1075050079
XXXX1075050080
XXXX1075050081
XXXX1075050082
XXXX1080010001
XXXX1080010002
XXXX1080010003
XXXX1080010004
XXXX1080010005
XXXX1080010006
XXXX1080010007
XXXX1080010008
XXXX1080020001
XXXX1080020002
XXXX1080020003
XXXX1080020004
XXXX1080020005
XXXX1080020006
XXXX1080020007
XXXX1080030001
XXXX1080030002
XXXX1080030003
XXXX1080030004
XXXX1080030005
XXXX1080030006
XXXX1080030007
XXXX1080060001
XXXX1080060002
XXXX1080090001
XXXX1080090002
XXXX1081010001
XXXX1081010002
XXXX1081010003
XXXX1081010004
XXXX1081010005
XXXX1081010006
XXXX1081010007
XXXX1081010008
XXXX1081010009
27
ACCT_NAME
COMM AND BROKGE - RTGS
COMM AND BROKGE - NEFT
SERVICE TAX - COMM - WESTERN UNION MONEY TRF
SERVICE TAX - COMM - RTGS
SERVICE TAX - COMM - NEFT
SERVICE TAX - COMM - INLAND REMITTANCE
SERVICE TAX - COMM - INLAND COLLECTION
SERVICE TAX - COMM - INLAND LC
SERVICE TAX - COMM - INLAND GUARANTEE ISSUE
SERVICE TAX - COMM - INLAND - OTHERS
COMM AND BROKGE - INCENTIVE RECD FROM RBI
SERVICE TAX - COMM - INCENTIVE RECD FROM RBI
COMM AND BROKGE - FRGN REMITTANCE
COMM AND BROKGE - FRGN COLLECTION
COMM AND BROKGE - FRGN LETTER OF CREDIT
COMM AND BROKGE - FRGN GUARANTEE ISSUED
COMM AND BROKGE - FRGN - OTHERS
COMM AND BROKGE - FRGN BANCASSURANCE(LIC
COMM AND BROKGE - FRGN BANCASSURANCE (NI
COMM AND BROKGE - NEFT PAYABLE A/C
SERVICE TAX - COMM - FRGN REMITTANCE
SERVICE TAX - COMM - FRGN COLLECTION
SERVICE TAX - COMM - FRGN LETTER OF CREDIT
SERVICE TAX - COMM - FRGN GUARANTEE ISSUED
SERVICE TAX - COMM - FRGN - OTHERS
BROKERAGE RECEIVED
SERVICE TAX - BROKERAGE RECEIVED
TURNOVER COMMISSION
SERVICE TAX - TURNOVER COMMISSION
TURNOVER COMMISSION - PENSION
TURNOVER COMMISSION - CBDT
TURNOVER COMMISSION - CBEC
TURNOVER COMMISSION - PPF
TURNOVER COMMISSION - BONDS
SERVICE TAX - TURNOVER COMMISSION - PENSION
SERVICE TAX - TURNOVER COMMISSION - CBDT
SERVICE TAX - TURNOVER COMMISSION - CBEC
SERVICE TAX - TURNOVER COMMISSION - PPF
SERVICE TAX - TURNOVER COMMISSION - BONDS
RENT ON LOCKERS
SERVICE TAX - RENT ON LOCKERS
TRAVELLING EXPENSES REIMBURSED
SERVICE TAX - TRAVELLING EXP - REIMBURSED
RENT ON BANK'S PROPERTY LET OUT
SERVICE TAX - RENT ON BANK'S PROPERTY LET OUT
GUARANTEE FEE RECOVERED-DICGC
GUARANTEE FEE RECOVERED-ECGC
CHG. FOR ISSUING CHQ BOOKS
LEDGER FOLIO CHARGES
LOAN APPL PROCESSING CHGS
INC OTHER RECEIPTS - OTHERS
RECOVERY IN WRITTEN OFF ACS
SERVICES CHARGES ATM SHARING SBI
SERVICES CHARGES ATM SHARING PNB
FOREX-OTHER RECEIPTS
INTERSOL CHARGES
SERVICES CHARGES ATM SHARING NFS
ACCOUNT NO
XXXX1081010010
XXXX1081010011
XXXX1081010012
XXXX1081010013
XXXX1081010014
XXXX1081010015
XXXX1081010016
XXXX1081010017
XXXX1081010018
XXXX1081010019
XXXX1081010020
XXXX1081010021
XXXX1081020001
XXXX1081020002
XXXX1081020003
XXXX1081020004
XXXX1081020005
XXXX1081020006
XXXX1081020007
XXXX1081020008
XXXX1081020009
XXXX1081020010
XXXX1081020011
XXXX1081020012
XXXX1081020013
XXXX1081030001
XXXX1081030002
XXXX1081040110
XXXX1081040111
XXXX1081041001
XXXX1081041002
XXXX1081041003
XXXX1081041004
XXXX1081041005
XXXX1081041006
XXXX1081041007
XXXX1081041008
XXXX1081041009
XXXX1081041010
XXXX1081050110
XXXX1081050111
XXXX1081060001
XXXX1081060002
XXXX1082010001
XXXX1082010002
XXXX1082020001
XXXX1082020002
XXXX1082030001
XXXX1082030002
XXXX1082030003
XXXX1082030004
XXXX1082030005
XXXX1082030006
XXXX1082030007
XXXX1082030009
XXXX1082030011
XXXX1082030012
28
ACCT_NAME
SERVICES CHARGES VISA POS TXN
RENEWAL CHARGES
MANUAL PREPAYMENT CHARGES
SERVICE TAX - PREPAYMENT CHARGES
SERVICE TAX - MANUAL PREPAYMENT CHARGES
SERVICE TAX - CHG. FOR ISSUING CHQ BOOKS
SERVICE TAX - LEDGER FOLIO CHARGES
SERVICE TAX - LOAN APPL PROCESSING CHGS
SERVICE TAX - INCOME OTHER RECEIPTS - OTHERS
SERVICE TAX - RENEWAL CHARGES
SERVICE TAX - INTERSOL CHARGES
SERVICE TAX - SERVICE CHARGES ATM SHARING NFS
SERVICE TAX - SERVICE CHARGES VISA POS TXN
POSTAGE RECOVERED - OTHERS
POSTAGE RECOVERED - DISCOUNT ON BILLS
SERVICE TAX - POSTAGE RECOVERED - OTHERS
SERVICE TAX - POSTAGE RECOVERED - DISCOUNT ON BILLS
MEMORANDUM LEDGER CONTRA AC
BILLS FOR COLL - OBC- PAYABLE IN INDIA
BILLS FOR COLL - OBC- PAYABLE OUTSIDE IN
BILLS FOR COLLN- FOBC- PAYABLE IN INDIA
BILLS FOR COLLN - FOBC - PAYABLE OUTSIDE
BILLS FOR COLLN - FOBC - SENT BY US DIRE
BILLS FOR COLLN - FOBC - SENT THRO FGN.E
BILLS FOR COLLN - FOBC - SENT THRO UP CO
BILLS FOR COLLN-FOBC-SENT THRO FGN.EXCH.
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
IMPORT BILL UNDER LC
FOBC- BILLS FOR COLLN - PAYABLE OUTSIDE
FIBC- RECEIVED FROM OTHER BANK
IMPORT BILLS UNDER LC
BILLS FOR COLLN - I.B.C(INCLD FIBC) RECD
BILL COLLN-IBC-RECD FRM OTH BKS AND DIR
BILLS RECD UNDER INLAND LC
ACEPTANCE ENDORSEMENT AND OTHER OBLIGA
OUTWARD COMMERCIAL CREDIT UNUSED
GUARANTEE GIVEN ON BEHALF ODF THE CONSTI
GUARANTEE GIVEN OF BEHALF OF CONSTI
PPF RECEIVABLE A/C
SUIT FILED AGAINST THE BANK NOT ACK AS D
LIAB OS FORWARD EXCHANGE CONTRACT - BOUG
LIAB OS FORWARD EXCHANGE CONTRACT - SOLD
GUARANTEE GIVEN ON BEHALF ODF THE CONSTI
ACEPTANCE ENDORSEMENT AND OTHER OBLIGA
LIABILITIES FOR PARTY PAID INVESTMENTS
LIAB FOR BILLS OF EXCH RE DISC WITH IDBI
LIAB OS FORWARD EXCHANGE CONTRACT - OTHE
BILLS FOR COLLN - I.B.C(INCLD FIBC) RECD
BILL COLLN-IBC-RECD FRM OTH BKS AND DIR
ACCOUNT NO
XXXX1082030013
XXXX1082030014
XXXX1082030015
XXXX1082030016
XXXX1082030017
XXXX1082030018
XXXX1082030019
XXXX1082030020
XXXX1082030021
XXXX1082030022
XXXX1082030023
XXXX1082030024
XXXX1082030025
XXXX1082040001
XXXX1082040002
XXXX1082040003
XXXX1082040004
XXXX1094100001
XXXX1095010001
XXXX1095010002
XXXX1095020001
XXXX1095020002
XXXX1095020003
XXXX1095020004
XXXX1095020005
XXXX1095020006
XXXX1195020010
XXXX1295020010
XXXX1395020010
XXXX1495020010
XXXX1595020010
XXXX1695020010
XXXX1795020010
XXXX1895020010
XXXX2195020010
XXXX2295020010
XXXX2395020002
XXXX2395020009
XXXX2395020010
XXXX1095030001
XXXX1095030002
XXXX1095030003
XXXX1095040001
XXXX2395040003
XXXX1095050001
XXXX2395050002
XXXX1095145001
XXXX1096100001
XXXX1096100002
XXXX1096100003
XXXX1096100004
XXXX1096100005
XXXX1096100006
XXXX1096100007
XXXX1096100008
XXXX1096100009
XXXX1096100010
29
ACCT_NAME
BILLS FOR COLLECTION- FOBC-PAYABLE IN IN
BILLS RECD UNDER INLAND LC
IMPORT BILL UNDER LC
OUTWARD COMMERCIAL CREDIT UNUSED
GUARANTEE GIVEN ON BEHALF OF CONSTI
FOBC- BILL FOR COLL- PAYABLE OUTSIDE INDIA
FIBC- BILL RECEIVED FROM OTHER BANK
BILLS FOR COLLECTION-OBC-PAYABLE IN INDI
BILLS FOR COLLECTION -OBC-PAYABLE OUTSID
PPF PAYABLE A/C
INTER SOL ACCOUNTS INR
INTERSOL GEN PARKING A/C
EOD PROXY ACCOUNT
OVERDUE CRYSTALLIZED BILL
INTT SUBVENTION RECEIVABLE HBL-GOI SCHEME
INCOME UNDER LOAN SYNDICATION
INCOME FROM UNDERWRITING
INCOME FROM SECURITISATION
INCOME FROM MERCHANT BANKING
INCOME FROM ONLINE SHARE TRADING
CAPITAL WORK IN PROGRESS
ACCOUNT NO
XXXX1096100014
XXXX1096100020
XXXX1196100019
XXXX2396100012
XXXX2396100013
XXXX2396100014
XXXX2396100018
XXXX1096110001
XXXX1096110002
XXXX1096280001
XXXX1098010001
XXXX1098015001
XXXX1098020001
XXXX1032020024
XXXX1064050009
XXXX1083010018
XXXX1083010019
XXXX1083010020
XXXX1083010021
XXXX1083010022
XXXX1064050010
SCHEME
SCHM_DESC
TABLE
CODE
MIN
MAX
TABLE CODE
MIN
MAX
L725W
LA726
25
LB726
25
L731A
UCO SHELTER-SCHEME-A
L731A
25
L731A
25
L731B
UCO SHELTER-SCHEME-B
L731B
25
L731B
25
L731C
AU081
25
B731B
25
L804A
BASER
25
LB800
25
L806A
BASER
25
LB800
25
LA700
LZERO
LZERO
LA701
LA701
25
LA701
25
LA702
LA702
15
LA702
15
LA703
LA733
15
LA733
15
LA704
LA704
25
LA704
25
LA705
LA705
25
LA705
25
LA706
LA706
25
LA706
25
LA706
25
LB706
25
LA706
,,
LA707
LA707
25
LA707
25
LA708
LA708
25
LA708
25
LA709
LA709
25
LA709
25
LA710
NUSH1
25
NUSH1
25
LA711
STAFF LN -FLOOD
LZERO
10
LZERO
10
LA712
LA737
25
LB738
25
LA713
BPLR0
BPLR0
LA714
LA714
10.5
LA714
10.5
LA725
UCO CASH
LA725
25
LB725
25
30
LA726
UCO NARISHAKTHI
LA726
25
LB726
25
LA727
UCO RENT
LREN1
25
LB727
25
LA728
UCO SHOPPER
LA728
25
LB728
25
LA729
UCO TRADER
LTRA1
25
LB729
25
LA730
UCO MORTIGAGE
LMOR2
25
LB730
25
LA731
UCO SHELTER
JA102
25
B731B
25
LA732
UCO CAR
LA732
25
L732B
25
LA732
LA732
25
L732E
25
LA732
LA732
25
L732F
25
LA733
UCO PENSIONER
UCPEN
25
LB733
25
LA734
UCO EDUCATION
LEDU1
25
LBED1
25
LA735
GENERAL TL NPS
LA735
25
BASLN
25
LA736
LA736
25
LB736
25
LA737
LA737
25
LB738
25
LA738
LA738
25
LB738
25
LA739
AU081
25
B731B
25
LA740
NON_EI_GENERAL TL NPS
LA735
25
BASLN
25
LA741
SILPA
25
LBMSE
25
LA742
UCO SWABHIMAN
LZERO
10.5
15
LB742
10.5
15
LA743
LZERO
25
LZERO
25
LA744
LZERO
25
LZERO
25
LA745
LA728
25
LB728
25
LA746
AU082
25
B731B
25
LA747
LA747
25
LB747
25
LA748
LA748
25
LB748
25
LA748
LA748
25
L748A
25
LA748
LA748
25
L748B
25
LA748
LA748
25
L748C
25
LA749
LZERO
25
LZERO
25
LA800
AGRICULTURE-DIRECT
LA800
25
LB800
25
LA801
LA801
25
LB800
25
LA802
LA800
25
LB800
25
LA803
AGRICULTURE-ALLIED
LA800
25
LB800
25
LA804
L804A
25
L804A
25
LA805
LA735
25
BASLN
25
LA806
L804A
25
L804A
25
LA807
LA800
25
LA800
25
LA850
SSI-GENERAL
LA850
25
LBMSE
25
LA851
LA850
25
LBMSE
25
LA852
LA850
25
LBMSE
25
LA853
LA850
25
LBMSE
25
LA854
LA852
25
LB852
25
LA855
TRANSPORT-OPS
LA852
25
LB852
25
LA856
DRI
LA856
25
LA856
25
LA857
RURAL HOUSING
LA852
25
LB852
25
LA858
LA852
25
LB852
25
LA875
PMRY
LA852
25
LB852
25
LA876
SGSY
LA852
25
LB852
25
LA877
SJSRY
LA852
25
LB852
25
LA878
SLRS
LA852
25
LB852
25
LA879
KVIC
LA852
25
LB852
25
LA880
LZERO
LZERO
LA880
LZERO
LZERO
LA880
LZERO
LZERO
LA880
LZERO
LZERO
LA880
LZERO
25
LZERO
25
LA880
LZERO
LZERO
LA880
LZERO
LZERO
31
LA881
WORKING CAPITAL DL
LZERO
25
LZERO
25
LA882
LZERO
25
LZERO
25
LA883
LA852
25
LB852
25
LA884
SRMS-MICRO
LSRM1
25
LB852
25
LA885
SRMS
LSRM2
25
LB852
25
LA886
SRMS-MICRO-WOMEN
LSRM3
25
LB852
25
LA888
LA852
25
LB852
25
LA890
PMEGP
LA852
25
LB852
25
LA900
WCTL_EI
BASER
25
BASLN
25
LA901
WCTL_NON_EI
BASER
25
BASLN
25
LA902
FITL_EI
BASER
25
BASLN
25
LA903
FITL_NON_EI
BASER
25
BASLN
25
LAMSL
MEMORANDUM LEDGER
LA733
BASLN
CC100
CC GENNERAL
CC100
25
CBNP4
25
CC101
CC UCO TRADER
CCNP4
25
CB101
25
CC102
CC101
25
CBOP4
25
CC103
CC102
25
CBMS2
25
CC104
CC103
25
C104A
25
CC105
C104A
25
CBOP1
25
CC106
CC105
25
CBOP4
25
CC107
CC-SMALL BUSINESS/RT
CCACC
25
CBOP5
25
CC108
CCOP4
25
CBOP5
25
CC109
CCOP4
25
CBMS3
25
CC110
CC AGAINST DEPOSITS
CCSS5
25
ZEROB
25
CC111
CC-AGRICLTURE
ZEROB
25
CBAG1
25
CC112
CC-UCO MORTGAGE
CC111
25
CCMOR
25
CC113
CMOR2
25
CBAG5
25
CC114
CC113
25
CBOP5
25
CC115
CC-INDIRECT FINANCE
CC108
25
ZEROB
25
CC116
ZEROB
25
CBOP1
25
CC117
CCOP1
25
CBMS1
25
CC118
SILP3
25
CB118
25
CC222
CC118
25
CBNP4
25
C104A
CCNP4
25
CBAG5
25
Agricultural Advances
CBAG1
25
CBAG2
25
CBAG3
25
C104A
25
25
CBAG4
25
CBAG5
25
AS PER CREDIT
RATING
32
CBMS1
25
b) Total funded exposure more than Rs.5 lacs but up to Rs.25 lacs
CBMS2
25
c) Total funded exposure more than Rs.25 lacs but up to Rs.1 crore
CBMS3
25
CBMS4
25
CBOP1
25
CBOP2
25
CBOP3
25
CBOP4
25
CBOP5
25
25
AS PER CREDIT
RATING
CBNP4
Adjust the Rate of Intt with A/c Pref Dr as per terms of Sanction
Total funded exposure means total of all fund based facilities allowed to a borrower.
Where total exposure is above Rs 25 lacs, applicable interest rate should be based on credit
rating of the account and interest rate structure as per credit rating schedule would apply
except in case of MSE sector where it is above Rs. 1 crore.
STAFF SUPPLEMENTARY HOUSING LOAN Scheme Code LA710 *
Interest Table Code
LA 731 ( OLD A/CS )
NUSH1 (MARGIN MORE THAN =25%)
NUSH2 (MARGIN LESS THAN 25%)
NUSH3 ( AMT MORE THAN 20 LACS)
RUSH1(MARGIN>=25% & AMT<=20LACS )
RUSH2(MARGIN<25% & AMT<=20LACS )
UCSS1 (MARGIN MORE THAN 25%)
UCSS2 (MARGIN LESS THAN 25%)
AU081 (MARGIN MORE THAN =25%)
AU082 (MARGIN LESS THAN 25%)
UCO SHELTER ( LA 731 )**
VARIABLE INTEREST RATE ( AS PER DATE OF OPENING )
LA 731 ( OLD A/CS )
NUSH1 (MARGIN MORE THAN =25%)
NUSH2 (MARGIN LESS THAN 25%)
NUSH3 ( AMT MORE THAN 20 LACS)
RUSH1(MARGIN>=25% & AMT<=20LACS )
RUSH2(MARGIN<25% & AMT<=20LACS )
Effective date
Upto 09/04/2007
w.e.f 10-04-2007
w.e.f 10-04-2007
w.e.f 10-04-2007
From 17-10-2007 to
31-12-2007
From 17-10-2007 to
31-12-2007
wef 05-03-2008
wef 05-03-2008
wef 01-08-2008
wef 01-08-2008
upto 09/04/2007
wef 10-04-2007
wef 10-04-2007
wef 10-04-2007
From 17-10-2007 to
31-12-2007
From 17-10-2007 to
31-12-2007
33
wef 05-03-2008
wef 05-03-2008
wef 01-08-2008
wef 01-08-2008
Int Table code on
Overdue PC
advance
PC180
PC181
PC182
PC183
PC184
PC185
PC186
PC186
PCOD0
PCOD1
PCOD2
PCOD3
PCOD4
PCOD5
PCOD6
PCOD7
25001/- to 1lac
more than1lac- to 2 lac
more than 2 lac to 1 crore
above 1crore
OTHER PRIORITY SECTOR -CC
Upto 25000/25001/- to 50000/50001/- to 2 lac
more than2 lac to 25 lac
Above 25 lac
NON PRIORITY SECTOR -CC
Upto 25000/25001/- to 2 LAC
more than2 lac to 25 lac
Above 25 lac
Normal Interest
(F=BPLR)
CCAG1
CCAG2
CCAG3
CCAG4
CCAG5
CCAG6
F -2.5
F -2.5
F -2.0
F -1.0
F -0.5
F 0
CCSS1
F -3.5
Normal Interest
(F=BPLR)
CCSS2
CCSS3
CCSS4
CCSS5
F -3.0
F -2.25
F -1
F0
CCOP1
CCOP2
CCOP3
CCOP4
F -2.5
F -2.5
F -2.0
F -0.5
CCOP5
F0
CCNP1
CCNP2
CCNP3
CCNP4
F 0
F 0
F +1.50
F 0
NOTE : Interest rate for Sanctioned Limit above 25 lac is as per Credit
rating EXCEPT UCO TRADER. So the difference of interest is be adjusted
at account level preference for all the schemes.
34
SCHM_CODE
SB001
SB101
SB102
SB103
SB104
SBA
SB105
SBA
SBA
SB106
SB107
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SBA
SB108
SB109
SB110
SB111
SB112
SB113
SB114
SB115
SB116
SB117
SB118
SB119
SB120
SB122
SB123
SB201
SB301
SB401
SB401
SB601
SB602
SB603
SB604
SB606
SB700
SB950
SB998
SBWBS
UCOCH
UCOEL
UCORE
UCORO
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CA001
CA101
CA102
CA103
CA104
CA105
CA106
CA107
CA108
CA109
SCHM_DESC
PREFUNDED MAGIC CHEQUE
SAVINGS-GENERAL-METRO
SAVINGS STAFF
SAVINGS PENSION-URBAN
SAVINGS-NO FRILLS
SB-MINOR-SELF
URBAN/METRO
SAVINGS-OTHERS-SEMI
URBAN
SAVINGS-GENERAL-RURAL
SAVING-GENERAL-SEMI
URBAN
SAVINGS-OTHERS-RURAL
SAVINGS-OTHERS-URBAN
SAVINGS-PENSION-SU
SAVINGS-PENSION-RURAL
SB-MINOR-SELF OP-SU
SB MINOR-SELF OP-RURAL
SAVINGS-GENERAL-URBAN
SAVINGS NO FRILLS- NO CHQ
SAVINGS PENSION-METRO
SAVINGS-OTHERS-METRO
UCO SUVIDHA SAL A/C-UCSSA
SB CAPITAL GAINS SCH
SAVINGS -ZERO BALANCE
SB-RAJ BHAVAN UCSSA
SAVINGS NRE
SAVINGS NRO
SAVINGS RFC
SAVINGS RFC
UCO ELITE-SB
UCO ROYAL - SB
UCO CHATRA- SB
UCO RETIREE-SB
UCO STAR-CASA
SB FINANCIAL INCLUSION
SAVINGS (NO MIN BAL CHRG)
LAGHU BACHAT YOJNA-II'03
SB-WB STATE ELEC CORP LTD
SAVINGS-UCO CHHATRA
SAVINGS-UCO ELITE
SAVINGS-UCO RETIREE
SAVINGS-UCO ROYAL
GL_SUB_HEAD_CODE
12010
12010
12010
12010
12020
INT_TBL_CODE
SBINT
SBINT
SBSTF
SBINT
SBINT
12010
SBINT
12010
12010
SBINT
SBINT
12010
12010
12010
12010
12010
12010
12010
12010
12010
12010
12010
12010
12030
12010
12018
12060
12050
12070
12070
12010
12010
12010
12010
12010
12015
12010
14085
12010
12010
12010
12010
12010
SBINT
SBINT
SBINT
SBINT
SBINT
SBINT
SBINT
SBINT
SBINT
SBINT
SBINT
UCSSA
SBINT
SBINT
UCSSA
SBNR1
SBINT
SBINT
SBRFC
SBINT
SBINT
SBINT
SBINT
SBINT
SBINT
SBINT
TZERO
SBINT
SBINT
SBINT
SBINT
SBINT
11030
11030
11040
11030
11040
11030
11040
11030
11040
11040
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
35
SCHM_TYPE
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
SCHM_CODE
CA110
CA111
CA112
CA113
CA114
CA115
CA201
CA202
CA203
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CAA
CA222
CA223
CA224
CA301
CA401
CA402
CA501
CA502
CA503
CA504
CA601
CA602
CA604
CA604
CA605
CA605
CA700
CA701
CA702
CA703
CA704
CA705
CA706
CA800
CA801
CA900
CA901
CA901
CA902
CA902
CA903
CA903
CA904
CA904
CA905
CA905
CA906
CA906
CA907
CA907
CA908
CA908
CA909
CA909
CA910
CA910
CA950
SCHM_DESC
CA-FIRMS AND COS-URBAN
CA- FIRMS & COS SEMIURBAN
CA-FIRMS & COS-RURAL
CA- FROM BANKS
CA- CALL DEPOSITS
CA-TINY SECTOR
CURRENT A/C NRE
CURRENT A/C RFC
RFC A/C ( DOMESTIC )
CA-GEN INTERSOL
EXEMPTION
CA- INTERSOL EXEM-SU
CA- INTERSOL EXEM-RURAL
CURRENT A/C NRO
CURRENT A/C - EEFC
CURRENT A/C - ESCROW
CUR-FCNR-INR
CUR-RFC(SBA)-INR
CUR-RFC(TDA)-INR
CUR-EEFC-INR
UCO VALUE -CA
UCO PREMIUM -CA
UCO CLASSIC-CASA
UCO CLASSIC-CASA
UCO CLASSIC SUPER-CASA
UCO CLASSIC SUPER-CASA
CA - E-TDS REMITTANCE
CURRENT ACCOUNT - RTGS
NEFT-CURRENT ACCOUNT
NEFT-CASH REMITTANCE
NEFT-INDO NEPAL REMIT
CA - E-TAX PAYMENT
CA-ADMINISTRATIVE OFFICE
FEES COLLECTION
CA - IPO COLLECTION A/C
CA-GOVT ACCOUNT
UCO PREMIUM PLUS-1-CA
UCO PREMIUM PLUS-1-CA
UCO PREMIUM PLUS-2-CA
UCO PREMIUM PLUS-2-CA
UCO PREMIUM PLUS-3-CA
UCO PREMIUM PLUS-3-CA
UCO PREMIUM PLUS-4-CA
UCO PREMIUM PLUS-4-CA
UCO PREMIUM PLUS-5-CA
UCO PREMIUM PLUS-5-CA
UCO PREMIUM PLUS-6-CA
UCO PREMIUM PLUS-6-CA
UCO PREMIUM PLUS-7-CA
UCO PREMIUM PLUS-7-CA
UCO PREMIUM PLUS-8-CA
UCO PREMIUM PLUS-8-CA
UCO PREMIUM PLUS-9-CA
UCO PREMIUM PLUS-9-CA
UCO PREMIUM PLUS-10-CA
UCO PREMIUM PLUS-10-CA
CA-(NO MIN BAL CHRG)
GL_SUB_HEAD_CODE
11040
11040
11040
11010
11050
11041
11085
11090
11090
INT_TBL_CODE
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
11040
11040
11040
11095
11080
11075
13070
12070
13090
11080
11030
11030
11030
11040
11030
11040
11035
11037
11038
11039
11036
11031
11043
11040
11042
30120
11030
11040
11030
11040
11030
11040
11030
11040
11030
11040
11030
11040
11030
11040
11030
11040
11030
11040
11030
11040
11030
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
ZEROB
ZEROB
ZEROB
ZEROB
ZEROB
ZEROB
ZEROB
CAINT
CAINT
BZERO
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
CAINT
36
SCHM_TYPE
CAA
CAA
CAA
SCHM_CODE
CA950
UCOPR
UCOVA
CCA
CCA
CCA
C104A
CC100
CC101
CCA
CC102
CCA
CCA
CCA
CCA
CCA
CC103
CC104
CC105
CC106
CC107
CCA
CCA
CCA
CCA
CCA
CCA
CCA
CCA
CCA
CCA
CCA
CC108
CC109
CC110
CC111
CC112
CC113
CC114
CC115
CC116
CC117
CC118
CCA
CC222
LAA
LAA
LA700
LA701
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LA702
LA703
LA704
LA705
LA706
L706B
LA707
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LA708
LA709
LA710
LA710
LA711
LA712
LA713
LA714
LA725
L725W
LA726
LA727
LA728
LA729
LA730
LA731
L731A
L731B
SCHM_DESC
GL_SUB_HEAD_CODE
CA-(NO MIN BAL CHRG)
11040
CA-UCO PREMIUM
11030
CA-UCO VALUE
11030
CASH CREDIT SCHEMES
KCC >3LAC
41040
CC GENERAL
41005
CC UCO TRADER
41015
LAGHU UDHYAMI CR CARDLUC
41025
MAHILA SHILPA UDYOG
SCHEM
41030
KISAN CREDIT CARD
41040
SWAROJGAR CREDIT CARD
41045
ARTISAN CREDIT CARD
41065
CC-SMALL BUSINESS/RT
41050
PROFESSIONAL & SELF
EMPLO
41055
CC - SMALL SCALE INDUSTRY
41020
CC AGAINST DEPOSITS
41010
CC-AGRICLTURE
41035
CC-UCO MORTGAGE
41070
CC- KISAN SAMRIDHI YOJNA
41075
CC-SELF HELP GROUP
41060
CC-INDIRECT FINANCE
41070
UCO GENERAL CREDIT CARD
41045
UCO SILPA UDYOG
41015
CC- UCO DOCTOR SCHEME
41080
CC GEN INTERSOL
EXEMPTION
41005
LOAN SCHMES
STAFF FESTIVAL ADVANCE
64055
STAFF CONSUMER LOAN
47005
STAFF VEHICLE TWO
WHEELER
47010
STAFF VH FOUR WHEELER
47010
OFFICER VEHICLE 2 WHEELER
47010
OFFICER VEHICLE 4 WHEELER
47010
STAFF HOUSING LOAN
47015
STAFF ENHANCED HB LOAN
47015
STAFF MARRAIGE LOAN
47020
STAFF COMP PERSONAL
LOAN
47025
STAFF LN NATURAL CALAMITE
47026
STAFF SUPPLI H. LOAN
47015
STAFF SUPPLI H. LOAN
47040
STAFF LN -FLOOD
47026
LOAN AGAINST NSC TO STAFF
43035
STAFF VECHILE INTT.FREE
47010
STAFF TL- OD CONVERSION
47029
UCO CASH
47045
UCO CASH FOR WOMEN
47045
UCO NARISHAKTHI
47050
UCO RENT
47070
UCO SHOPPER
47060
UCO TRADER
47035
UCO MORTIGAGE
47030
UCO HOME LOAN
47040
UCO HOME-SCHEME-A
47040
UCO HOME-SCHEME-B
47040
INT_TBL_CODE
CAINT
CAINT
CAINT
CBAG5
CBNP4
CB101
CBOP4
CBMS2
C104A
CBOP1
CBOP4
CBOP5
CBOP5
CBMS3
ZEROB
CBAG1
CCMOR
CBAG5
CBOP5
BASCC
CBOP1
CBMS1
CB118
CBNP4
LZERO
LA701
LA702
LA733
LA704
LA705
LA706
BASLN
LA707
LA708
LA709
NUSH1
NUSH1
LZERO
LB738
BPLR0
LA714
LB725
LB726
LB726
LB727
LB728
LB729
LB730
LB731
L731A
L731B
37
SCHM_TYPE
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
SCHM_CODE
L731C
L731D
L731E
LA732
LA733
LA734
LA735
LA736
LA736
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LA737
LA738
LA739
LA740
LA740
LA740
LA741
LA742
LA743
LA744
LA745
LA746
LA747
LA748
LA749
LA750
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LA751
LA800
LA800
LA801
LA802
LA802
LA802
LA803
LA804
L804A
LA805
LA806
LA806
L806A
L806A
LA807
LA808
LA850
LA850
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LA851
LA852
LA853
LA854
LA854
LA854
LA854
LA854
LA854
LA854
LA854
SCHM_DESC
UCO HOME- FURNISHING
UCO HOME- 2 CRORES
UCO HOME- 5 CRORES
UCO CAR
UCO PENSIONER
UCO EDUCATION
GENERAL TL NPS
UCO REAL ESTATE
UCO REAL ESTATE
UCO SECURITIES-EXCL
BONDS
UCO SECURITIES- BONDS
NRI HOME LOAN SCHEME
NON_EI_GENERAL TL NPS
NON_EI_GENERAL TL NPS
NON_EI_GENERAL TL NPS
UCO SHILPA UDYOG
UCO SWABHIMAN
NANO CAR BOOKING LOAN
NANO CAR BRIDGING LOAN
UCO SHOPPER (TIE-UP)
UCO HOME - COMFORT SCH
UCO DOCTOR SCHEME
UCO TWO WHEELER SCHEME
UCO EARNEST MONEY
SOFT LOAN PENSION OPTEE
UCO RETIREE PERSONAL
LOAN
AGRICULTURE-DIRECT
AGRICULTURE-DIRECT
HIRAK JYANTI KRISHI YOJNA
UCO KISAN SAMRIDHI YOJNA
UCO KISAN SAMRIDHI YOJNA
UCO KISAN SAMRIDHI YOJNA
AGRICULTURE-ALLIED
GOLD LOAN PRIORIY SECTOR
GOLD LOAN PS>3LAC
GOLD LOAN NON PRIORIY
DEMAND CROP LOAN
DEMAND CROP LOAN
DEMAND CROP LN>3LAC
DEMAND CROP LN>3LAC
UCO SAMAG KISAN SAMR YOJ
DIRECT AGRICULTURE
SSI-GENERAL
SSI-GENERAL
NATIONAL EQUITY FUND
SCHE
LAGHU UDHYAMI CR. CARD
MAHILA SHILPA UDYOG
OTHER PRIORITY TL GEN
OTHER PRIORITY TL GEN
OTHER PRIORITY TL GEN
OTHER PRIORITY TL GEN
OTHER PRIORITY TL GEN
OTHER PRIORITY TL GEN
OTHER PRIORITY TL GEN
OTHER PRIORITY TL GEN
GL_SUB_HEAD_CODE
47040
47042
47043
47055
47075
47065
47200
43045
43050
INT_TBL_CODE
B731B
LB731
LB731
L732A
LB733
LBED1
BASLN
LB736
LB736
43035
43035
47040
47125
47200
47215
47035
47032
43055
43060
47061
47040
47220
47225
47041
47027
LB738
LB738
B731B
BASLN
BASLN
BASLN
LBMSE
LB742
LZERO
LZERO
LB728
B731B
LB747
LB748
LZERO
LB750
47028
43030
47080
47085
43030
47090
47185
47080
43040
43040
43040
43030
47080
43030
47080
47195
43031
47125
47135
LB751
LB800
LB800
LB800
LB800
LB800
LB800
LB800
L804A
LB800
BASLN
L804A
L804A
LB800
LB800
LA800
LA800
LBMSE
LBMSE
47130
47140
47145
47100
47101
47102
47103
47105
47110
47190
47205
LBMSE
LBMSE
LBMSE
LB852
LB852
LB852
LB852
LB852
LB852
LB852
LB852
38
SCHM_TYPE
LAA
LAA
LAA
LAA
SCHM_CODE
LA854
LA855
LA856
LA857
LAA
LA858
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LA858
LA875
LA876
LA877
LA878
LA879
LA880
LAA
LAA
LA881
LA882
LAA
LA883
LAA
LA883
LAA
LA883
LAA
LA883
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LAA
LA883
LA884
LA885
LA886
LA888
LA888
LA888
LA888
LA890
LA891
LA900
LA900
LA901
LA901
LA901
LA902
LA902
LA903
LA903
LA903
LAFCL
LAMSL
FCTL
FBA
FBA
FBA
FBA
FBA
FBA
FB101
FB101
FB102
FB102
FB102
FB103
PCA
PCA
PC100
PC101
SCHM_DESC
OTHER PRIORITY TL GEN
TRANSPORT-OPS
DRI
RURAL HOUSING
SWAROJGAR- ARTISAN
CREDIT
SWAROJGAR- ARTISAN
CREDIT
PMRY
SGSY
SJSRY
SLRS
KVIC
LOAN AGAINST DEPOSIT
GL_SUB_HEAD_CODE
47210
47115
47120
47155
INT_TBL_CODE
LB852
LB852
LA856
LB852
47095
LB852
47150
47160
47165
47170
47175
47180
43035
LB852
LB852
LB852
LB852
LB852
LB852
LZERO
43050
47040
LZERO
LZERO
47100
LB852
47105
LB852
47110
LB852
47125
LB852
47135
47175
47175
47175
47080
47105
47110
47190
47103
47156
47080
47200
47080
47125
47200
47080
47200
47080
47125
47200
43035
93100
47104
LB852
LB852
LB852
LB852
LB852
LB852
LB852
LB852
LB852
LA891
BASLN
BASLN
BASLN
BASLN
BASLN
BASLN
BASLN
BASLN
BASLN
BASLN
LZERO
BASLN
FCYTL
48005
48015
48020
48020
48020
48030
ZEROB
ZEROB
BLPUR
FCBRD
PCFC
BLPUR
44010
44020
PB270
PB270
WORKING CAPITAL DL
NATIONAL HOUSING LOAN
BANGLA SWANIRVAR
KAR.PRAK
BANGLA SWANIRVAR
KAR.PRAK
BANGLA SWANIRVAR
KAR.PRAK
BANGLA SWANIRVAR
KAR.PRAK
BANGLA SWANIRVAR
KAR.PRAK
SRMS-MICRO
SRMS
SRMS-MICRO-WOMEN
SCP FOR LUCKNOW
SCP FOR LUCKNOW
SCP FOR LUCKNOW
SCP FOR LUCKNOW
PMEGP
ISHUP
WCTL_EI
WCTL_EI
WCTL_NON_EI
WCTL_NON_EI
WCTL_NON_EI
FITL_EI
FITL_EI
FITL_NON_EI
FITL_NON_EI
FITL_NON_EI
FCNRB LOAN
MEMORANDUM LEDGER
FGN CCY- TERM LOAN
BILL SCHEMES
INLAND BILLS PURCHASED
INLAND BILLS PURCHASED
FGN BILLS DIS/PUR/NEG
FGN BILLS DIS/PUR/NEG
FGN BILLS DIS/PUR/NEG
FGN PUR BILL CRYST A/C
PACKING CREDIT SCHEMES
PRESHIPMENT PACKING
CREDI
RUNNING PACKING CREDIT
39
SCHM_TYPE
PCA
SCHM_CODE
PC102
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
EFCTD
TD101
TD102
TD103
TD104
TD105
TD106
TD107
TD108
TD109
TD110
TD111
TD112
TD113
TD114
TD115
TD116
TD117
TD118
TD119
TD120
TD121
TD122
TD123
TD124
TD125
TD126
TD127
TD128
TD129
TD129
TD130
TD131
TD132
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TD133
TD134
TD135
TD136
TD137
TD138
TD139
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TD140
TD141
TD142
TD143
TD144
TD145
TD146
TD147
TD148
TD149
TD150
TD151
TD201
SCHM_DESC
GL_SUB_HEAD_CODE
PC IN FOREIGN CURRENCY
44025
TERM DEPOSIT SCHEMES
EEFC TERM DEPOSIT
14170
GEN F D - MONTHLY
14100
GENERAL- FDR-QLY
14065
CFD-KUBER YOJNA
13040
FFD-SAVINGS
13045
FFD-OTHER THAN SB
13045
TWO WAY DEPOSIT-SB
14115
TWO WAY DEPOSIT- CA
14120
RECURRING DEPOSIT
14075
FLOATING RATE DEP- OCFD
14125
FLOATING RATE DEP- CFD
13050
UCO DIAMOND DEPOSIT
13055
LAKHPATI SCHEME
13060
MONEY MULTIPLIER
13065
CAPITAL GAINS (B)_TD_OCFD
14070
CAPITAL GAINS (B)-TD-CFD
13030
MONEY BACK RD
14110
CALL DEPOSITS-GENERAL
14130
SPECIAL DEP SCHEME -1975
14140
DEPOSIT CERTIFICATE
13068
CERTIFICATE OF DEPOSIT
13025
CFD- BANKS- (KUBER YOJNA)
13005
FIXED DEP-BANKS(OCFD)-QLY
14005
CALL DEPOSITS-BANKS
14130
RD-HOME LOAN SCHEME
14075
GEN-FIXED-DEP-SHORTTERM
14065
GEN- FIXD -DEP-HALF-YLY
14065
GEN- FIXED -DEPOSIT-YLY
14065
UCO DIAMOND-QLY
13055
GEN-FD-SHORTTERMS-BANKS
14005
GEN-FD-SHORTTERMS-BANKS
14065
CFD-KUBER YOJNA-DAYS
13040
CFD-KUBER YOJNA LBY
13040
UCO WEALTH MAXIMISER
13040
WEALTH MAXIMISERMONTHLY
14100
WEALTH MAXIMISER-QLY
14065
UCO SHUBH LABH- (CFD)
13040
FFD-CA CLASSIC
13045
FFD-CA SUPER CLASSIC
13045
FFD-SB STAR
13045
UCO SHUBH LABH-MONTHLY
14100
UCO SHUBH LABHQUARTERLY
14065
UCO SHUBH LABH 500- CFD
13040
UCO SHUBH LABH 500 - MLY
14100
UCO SHUBH LABH 500 -QLY
14065
UCO SUNSHINE RD SCHEME
14075
UCO DHAN VRIDDHI - CFD
13040
UCO DHAN VRIDDHI - MLY
14100
UCO DHAN VRIDDHI -QLY
14065
UCO DHAMAKA - CFD
13040
UCO DHAMAKA - MLY
14100
UCO DHAMAKA -QLY
14065
FFDTERM DEPOSIT LINKTOSB
13045
NRE-CFD-KUBER YOJNA
13085
INT_TBL_CODE
PCFC1
EEFC
TDGEN
TDGEN
TDGEN
TDFFD
TDFFD
TDGEN
TDGEN
TDGEN
TDFLO
TDFLO
TDDIA
TDGEN
TDGEN
TDGEN
TDGEN
TDGEN
ZERO
TDSPL
TDGEN
TDDUM
TDGEN
TDGEN
ZERO
TDGEN
TDGEN
TDGEN
TDGEN
TDDIA
TDGEN
TDGEN
TDGEN
TDGEN
TDMAX
TDMAX
TDMAX
TDSHB
TDFFD
TDFFD
TDFFD
TDSHB
TDSHB
TDSH2
TDSH2
TDSH2
USRDS
TDHAN
TDHAN
TDHAN
TDHAM
TDHAM
TDHAM
TDGEN
TDNRE
40
SCHM_TYPE
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
TDA
SCHM_CODE
TD202
TD203
TD204
TD301
TD302
TD303
TD304
TD305
TD401
TD402
TD501
TD501
TDA
TD502
TDA
TDA
TDA
TDA
TDA
TD502
TD503
TD504
TD505
TD601
TDA
TDA
TDA
TDA
TDA
TD602
TD603
TD604
TD605
TD606
SCHM_DESC
NRE- OCFD- MONTHLY
NRE- OCFD- QUARTERLY
NRE-OCFD-RECURRING DEP.
NRO-CFD-KUBER YOJNA
NRO- OCFD- MONTHLY
NRO- OCFD-FDQLY
NRO- OCFD-FDHLY
NRO-OCFD-SHORTTERM
RFC-CFD-KUBER YOJNA
RFC-OCFD--FIXED DEPOSIT
FCNR-B UPTO 12 MONTHS
FCNR-B UPTO 12 MONTHS
FCNR-B MORE THAN 12
MONTH
FCNR-B MORE THAN 12
MONTH
FCNR-B -12 MONTHS(CFD)
FCNR-B - ABOVE 12MON(CFD)
FCNR-B - ABOVE 12MON(CFD)
UCO TAX SAVER-MONTHLY
UCO TAX SAVER 2006QUARTE
UCO TAX SAVER 2006-CFD
UCO STAR DEPOSIT 2007
UCO STAR 2007 MONTHLY
UCO STAR 2007- FDR-QLY
GL_SUB_HEAD_CODE
14160
14160
14160
13080
14155
14155
14155
14155
13090
13090
14145
14145
INT_TBL_CODE
TDNRE
TDNRE
TDNRE
TDGEN
TDGEN
TDGEN
TDGEN
TDGEN
TDRFC
TDRFC
FCNRB
ZERO
13070
FCNRB
14145
14145
14145
14145
14100
FCNRB
FCNRB
FCNRB
FCNRB
TDTAX
14065
13040
13040
14100
14065
TDTAX
TDTAX
TDSTR
TDSTR
TDSTR
PTW OPTIONS
Interest report on Loan accounts ( monthly )
INTREP
Full Transfer waste
1
Only Verified transactions
2
Only Unposted transactions
3
Only Unverified transactions
4
Transactions for a list of GL subheads
5
Transaction totals
6
Print/Type a file
7
Transactions for a list of subtypes
8
Transactions for SA and SL
9
Report on Card Holder A/C with less
10
Balance
Mini - transfer waste for n/w ATM's
11
System generated transactions
12
CRM menus
13
SOLVAL Check
14
Amortization Transaction Enquiry
15
Download Java Policy
16
Unverified Outward RTGS Messages
18
All the transactions
A
Cash Waste
C
Daybook
D
Transaction History
E
Trial Balance
G
ACS - Savings
ACS - Current
ACS - ODA
ACS - CCA
ACS - Term Deposits
H
J
K
L
M
41
ACS - Loans
SUPPLEMENTARY
Outward Clearing Waste
Inward Clearing Waste
Transfer file to PC
Cash in Hand Acct. Summary
Year end processing
Cash Teller Report
Transfer file to Unix
Transfer file to ECS Dir
Transfer file to NECS Dir
TDS REPORT
P
O
I
T
X
Y
Z
R
S
E1
U
BRANCH EOD OPERATIONS
Web Menu
Financial transaction inquiry
FTI
Audit file print
AFP
Inter SOL reconciliation
RIST
Run service outlet validation process
SOLVAL
Initiate after business hours process
ABH
Open cash transactions
OCFT
Open transfer transactions
OXFT
Close service outlet operations
CSOLOP
Service outlet status inquiry
SOLSTAT
ONS Menu
42
Start
Back
Home
CBDT
Terminal Branch Transaction
CBDT Scrolls
CBDT Daily Consolidation Summary Scroll
CBDT Receipt Scroll For Income and Direct Tax
CBDT
Terminal Branch Transaction
CBDT Scrolls
Collecting Branch Challan Details - ASCII Format for
Record Type 01
Collecting Branch Summary Of Challan- ASCII
Format for Record Type 02
Pension Module
Enter into GBM
To perform Pension-BOD
Click on
Admin
Pension-BOD
Submit
Start
Back
Home
Pension
Treasury
Pension Master
Superannuation/Direct Family Pension
Pension
Treasury
Pension Master
Verify
Pension
Treasury
Pension Master Details
Add
Pension
Treasury
Pension Master Details
Verify
Pension
Treasury
Pensioner Component Details
Add
Pension
Treasury
Pensioner Component Details
Verify
Pension
Treasury
Certificate Receipt Details
Add
Pension
Select Treasury
Certificate Receipt Details
Verify
Admin
43
Trial-run Processing
Sol-wise
Select Treasury
Admin
Details of Pension Process
Select Treasury
(Check the amount of pension to be paid to the
pensioner)
Admin
Initiate Pension Payment
Select Treasury
Sol wise
Pension
Select Treasury
Pension Payment Scrolls -CPAO-CBS branch
Pension Payment Scrolls -other than CPAO-CBS &
non-cbs branch
Pension Payment Scrolls -other than CPAO-non-CBS
branch
(Select any one of above)
Actual Pension Payment (Before next month TrialAdmin
Run)
Actual-Run Processing
Sol wise (Change to
Previous month)
Select Treasury
To perform Pension-EOD
Admin
Pension-EOD
Submit
Start
Back
Home
Note : For More Details Go through GBM-pension job card in UCO ONLINE
HOTKEYS
F1
HELP
F2
LIST
F3
BACK
F4
ACCEPT
F5
BACKGROUND
F6
NEXT BLOCK
F7
QUERY
F8
COPY
F9
SIGNATURE
F10
COMMIT
F11
NEXT FIELD
F12
PREVIOUS BLOCK
ENTER
NEXT FIELD
SHIFT+ F4
SELECT
CONTROL + E
FIELD DETAILS
CONTROL + D
PAGE DOWN
CONTROL + U
PAGE UP
CONTROL + X
BOD / DATE
CONTROL + F
RESET THE FIELD
PORTALS
http://portal.ucobank.net.in:8082/UCOIND/
FINACLE MAIN
FINACLE MAIN
REPORT SERVER
UCO ONLINE
HP HELPDESK LOGIN
IRPS
http://portal1.ucobank.net.in:8090/UCOIND1/
http://report.ucobank.net.in:8082/report/
http://172.23.86.79/
http://172.19.128.170:8004/ServicePages/
http://172.23.86.13/
44
WORKCLASS
DESIGNATION
CUSTOMER
CLERK
SWO 1
SWO 2
HEAD CASHIER 1
HEAD CASHIR-2
SPL. ASST.
ASST MANAGER
MANAGER
SENIOR MANAGER
ZONAL HELPDESK
CHIEF MANAGER
ASST. GEN MANAGER
DY.GEN.MANAGER
SECOND IN COMMAND IN BRANCH
BRANCH MANAGER
AUDITOR INTERNAL
AUDITOR EXTERNAL
GENERAL MANAGER
EXECUTIVE DIRECTOR
CHAIRMAN & MANAGING DIRECTOR
WORK CLASS
CUS
CLERK
SWO 1
SWO 2
HC1
HC2
SPA
AM
MAN
SRM
ZOHD
CM
AGM
DGM
ABH
BH
AUDIN
AUDEX
GM
ED
CMD
CODE
025
050
060
070
080
090
100
150
200
300
355
400
550
600
850
900
350
360
700
750
800
ADDITIONAL INFORMATION
45
Accounting entry at the receiving branch (e.g. SOLID of receiving branch is say 9999 and of the remitting branch is
say 8888):
Dr. INTER CBS BR CRT PARKING ACCOUNT - 99991032210001
Cr. INTER CBS FUND TRF PARKING ACCOUNT 88881032220001
46
The cash-remitting branch on the same day should reverse the entry and square off the CRT A/C before
CSOLOP of their branch
Accounting entry at the remitting branch (SOLID say 8888):
Dr. INTER CBS FUND TRF PARKING ACCOUNT 88881032220001
Cr. CRT (Cash Remittance in Transit)
A new report KYCREP has been introduced for generating report on KYC Data Entered/
Not Entered for Customers opened during a period.
Steps:
1. Type KYCREP in Menu Option and press enter. A screen will be displayed as shown
below.
2.
Enter KYC in Report Class and Press F4.
3. Press F2 in Report Number. Finacle will display KYCSUM (for summary report) /KYCLST
(for detailed report. User to choose appropriate option by pressing SHIFT+F4. Then
Press F4
4. Enter SOLID No./Set ID (For Zone as a whole) against Set ID.
5. Enter Date Range of Customer Opening date against From Date and To Date (in
DD-MM-YYYY format) and press F4.
The status report will be generated in the back ground and user to take the printout and
needed to update the KYC Data of the pending customers
47
Click Sol ID
48
49
Now go to Windows - Start and select run and type EDIT as shown below:
50
51
52
TABLE
NAME
CMG
UPR
GAM
PYRD
OTC
ATT
XXX
NAM
GET
CTB
SPT
SDR
IMT
IMA
DST
LRS
ITC
LLT
ANT
DESCRIPTION
CUSTOMER MAINTENANCE - CUMM / HCUMM
USER PROFILE --- HUPM
ACCOUNT MASTER - ACM
STANDING INSTRUCTION - SIM
RTGS / NEFT --- HRTGS
ACCOUNT TRANSFER FROM SOL- ACXFRSOL
CHEQUE DESTROY --- CHBM / CHBMAU
RTGS / NEFT --- HRTGS
EMPLOYEE DETAILS --- EFM
CHEQUE BOOK ISSUE --- ICHB / ICHBAU
STOP PAYMENT --- SPP / SPPAU
SECURITY / STOCK LODGEMENT SRM / HCLM
SIGNATURE UPLOAD LDIMG / IMGMNT
INVENTORY MOVEMENT -- IMC
DRAFT ISSUED MANUALLY -- DDSM
LOAN RESCHEDULING -- HLARA
INTEREST TABLE -- INTTM
LIMIT NODE MAINTENANCE LNM / HLNM
NOMINATION DETAILSACM -NOPTION
--------------------XXXXX-----------------
53
marketplace.
redundancy.
Comprehensive offering to
support growth
Finacle has a layered Service-Oriented
Architecture (SOA), STP capabilities, Webenabled technology, and supports true 24
X 7 operations, so banks can:
regulations.
Functional architecture
Enterprise CRM
Marketing
Sales
Service
Interaction
Knowledge Base
Communication Channels
Liquidity Management
Dashboards
Origination
Product Factory
Consumer Banking and Wealth Management
Consumer Banking
Saving & Checking
Time Deposits
Retail Loans
Mortgages
Current / Overdrafts
Islamic Banking
Mutual Funds
Securitization
Trade Finance
Commercial Lending
Leasing and Hire Purchase
Islamic Banking
Syndication
Equities
Forward Contracts
Bonds
Export / Import
Financing
Documentary
Credits
Guarantees
Functional Services
Standing Orders
Limits / Collaterals
Bill Payments
Clearing
Referral
Exchange Rates
Bank Management
Fees / Charges
Inventory
Channel Rules
Signature Verification
Accounting Backbone
General Ledger
Enterprise
Components
Multi-Currency
Infrastructure
Transaction Manager
24/7 Multi-lingual Finacle Studio Single Sign On Integration Framework Purge Access Control
Workflow (BPEL) Reporting Audit Multi - Calendar Scheduler
Key modules
Corporate banking
mandates.
Consumer banking
Trade finance
Wealth management
Documentary credit
Forward contract
Import and export financing
Letter of guarantee
Factoring
Buyers credit
Customer analytics
added as needed.
Origination
collections
transfer
offerings.
optimum control.
Dashboards
Advance operational efficiencies and
user experience by enabling availability
products
Payments
Functional services
Reusable business
components
Users can define which business-enabler
functions of Finacle core banking to turn
on, and then reuse these across various
functions, such as:
charges
Inventory management
Elaborate channel rules and channel-
and interest
Accounting backbone
common authentication
sell opportunities.
access
schedules
conditions.
productivity
intervention
Business benefits
Infrastructure
www.infosys.com/finacle
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