Support #9967
SCP ID :##4996##] : FD account display twice at account & banking
Status: | Work Completed-End life cycle | Start date: | June 10, 2019 | |
---|---|---|---|---|
Priority: | Normal | Due date: | ||
Assignee: | Zahir Abd Latif | % Done: | 100% | |
Category: | RIB | Spent time: | - | |
Target version: | - |
Description
Hi,
Kindly attend below request:
We have received a complaint from customer regarding list of FD account shows repetition through her Agronet account.
Customer has 6 FD account in Agrobank but AGRONet shows 7 FD account.
Customer’s details:
Full name : LEE POH TIN
IC No : 580422085192
Email : leepohtin9@hotmail.com
List of FD account:
1. 3007021000034563
2. 3007021000066656
3. 3007021000066663 - twice, refer attachment
4. 3007021000066670
5. 3007021000066748
6. 3007021000066755
History
#1 Updated by Stephanie Sufrapto over 5 years ago
- Status changed from New - Begin Life Cycle to Work Completed-End life cycle
- Assignee changed from Stephanie Sufrapto to Zahir Abd Latif
- % Done changed from 0 to 100
Account Number list is provided by HOST when we enquire to them for CIF there will be indicator from HOST if the list is seperated. we will continue received response if MORE_RECORDS_INDICATOR=Y.
The double account number can be seen when the new response list.
Below is the snapshot from log.
[2019-05-30 12:04:31,006 INFO](com.ib.message.common.MsgUtils) - parsed response - class com.ib.message.header.MbaseHeader:{RESPONSE_RESULT_CODE=AA, USER_ID=INTBANKING, REFERENCE_NUMBER=0, REBID_NUMBER=0, END_OF_GROUP_INDICATOR=*END, BLOCK_MESSAGE_NUMBER=0, SOURCE_ID=BTS, DESTINATION_ID=RBK, RETURN_DATA_QUEUE_NAME=DSISRRIBBO, TERMINAL_ID=, BANK_NUMBER=0, BRANCH_NUMBER=0, REVIEW_SUPERVISOR_ID=Y022611905, TRANSMIT_SUPERVISOR_ID=3012043052, HOST_SUPERVISOR_ID=54 00, TRANSACTION_CODE=15107, ACTION_CODE=, TRANSACTION_MODE=R, NO_OF_RECORDS_TO_RETRIEVE=15, MORE_RECORDS_INDICATOR=Y, SEARCH_METHOD=F, RESPONSE_ERROR_CODE_1=, RESPONSE_REASON_FOR_CODE_1=, RESPONSE_ERROR_CODE_2=, RESPONSE_REASON_FOR_CODE_2=, RESPONSE_ERROR_CODE_3=, RESPONSE_REASON_FOR_CODE_3=, RESPONSE_ERROR_CODE_4=, RESPONSE_REASON_FOR_CODE_4=, RESPONSE_ERROR_CODE_5=, RESPONSE_REASON_FOR_CODE_5=, DATE_IN_FROM_CLIENT_DDMMYYYY=30052019, TIME_IN_FROM_CLIENT_HHMMSS=120430, ACCOUNT_NO=0, ACCOUNT_TYPE=, CIF_NO=210021411, NEXT_ACTION_CODE=, FILLER=}
[2019-05-30 12:04:31,552 INFO](com.ib.message.common.MsgUtils) - parsed response - class com.ib.message.response.inquiry.AccountSummaryByCifResponse:{CUSTOMER_NUMBER=210021411, NUMBER_OF_ACCOUNT=[
{ACCOUNT_TYPE=B, ACCOUNT_NUMBER=8002021122700001, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0008002021122700001, TYPE_DESC=PRODUCT D, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=D, ACCOUNT_NUMBER=1002021000004478, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0001002021000004478, TYPE_DESC=Qard APi Buku, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=D, ACCOUNT_NUMBER=1007021000045740, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0001007021000045740, TYPE_DESC=Qard APi Buku, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=13957.36, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=G, ACCOUNT_NUMBER=3002021000007562, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000007562, TYPE_DESC=FIXED-DEP GROUP, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=G, ACCOUNT_NUMBER=3007021000016154, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000016154, TYPE_DESC=FIXED-DEP GROUP, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=550000.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=S, ACCOUNT_NUMBER=2002021000006210, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0002002021000006210, TYPE_DESC=AgroTani i, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=6360.01, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000037274, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000037274, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000039181, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000039181, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000039464, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000039464, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000040195, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000040195, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000041762, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000041762, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000041914, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000041914, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000043730, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000043730, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000053454, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000053454, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000055018, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000055018, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9}]}
[2019-05-30 12:04:31,755 INFO](com.ib.message.common.MsgUtils) - parsed response - class com.ib.message.header.MbaseHeader:{RESPONSE_RESULT_CODE=AA, USER_ID=INTBANKING, REFERENCE_NUMBER=0, REBID_NUMBER=0, END_OF_GROUP_INDICATOR=*END, BLOCK_MESSAGE_NUMBER=0, SOURCE_ID=BTS, DESTINATION_ID=RBK, RETURN_DATA_QUEUE_NAME=DSISRRIBBO, TERMINAL_ID=, BANK_NUMBER=0, BRANCH_NUMBER=0, REVIEW_SUPERVISOR_ID=Y022611905, TRANSMIT_SUPERVISOR_ID=3012043152, HOST_SUPERVISOR_ID=60 00, TRANSACTION_CODE=15107, ACTION_CODE=, TRANSACTION_MODE=R, NO_OF_RECORDS_TO_RETRIEVE=15, MORE_RECORDS_INDICATOR=Y, SEARCH_METHOD=F, RESPONSE_ERROR_CODE_1=, RESPONSE_REASON_FOR_CODE_1=, RESPONSE_ERROR_CODE_2=, RESPONSE_REASON_FOR_CODE_2=, RESPONSE_ERROR_CODE_3=, RESPONSE_REASON_FOR_CODE_3=, RESPONSE_ERROR_CODE_4=, RESPONSE_REASON_FOR_CODE_4=, RESPONSE_ERROR_CODE_5=, RESPONSE_REASON_FOR_CODE_5=, DATE_IN_FROM_CLIENT_DDMMYYYY=30052019, TIME_IN_FROM_CLIENT_HHMMSS=120431, ACCOUNT_NO=0, ACCOUNT_TYPE=T, CIF_NO=210021411, NEXT_ACTION_CODE=, FILLER=}
[2019-05-30 12:04:32,145 INFO](com.ib.message.common.MsgUtils) - parsed response - class com.ib.message.response.inquiry.AccountSummaryByCifResponse:{CUSTOMER_NUMBER=210021411, NUMBER_OF_ACCOUNT=[
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000055018, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000055018, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000056960, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000056960, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000057170, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000057170, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000057873, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000057873, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000058142, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000058142, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=9},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3002021000058960, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003002021000058960, TYPE_DESC=FD WARGAMAS, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000016179, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000016179, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000020405, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000020405, TYPE_DESC=Upfront Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000020412, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000020412, TYPE_DESC=Upfront Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000021233, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000021233, TYPE_DESC=Upfront Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000034563, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000034563, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=50000.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000049128, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000049128, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000051143, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000051143, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=0.00, ACCOUNT_STATUS=CLOSED, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000066656, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000066656, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=50000.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000066663, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000066663, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=100000.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1}]}
[2019-05-30 12:04:32,379 INFO](com.ib.message.common.MsgUtils) - parsed response - class com.ib.message.header.MbaseHeader:{RESPONSE_RESULT_CODE=AA, USER_ID=INTBANKING, REFERENCE_NUMBER=0, REBID_NUMBER=0, END_OF_GROUP_INDICATOR=*END, BLOCK_MESSAGE_NUMBER=0, SOURCE_ID=BTS, DESTINATION_ID=RBK, RETURN_DATA_QUEUE_NAME=DSISRRIBBO, TERMINAL_ID=, BANK_NUMBER=0, BRANCH_NUMBER=0, REVIEW_SUPERVISOR_ID=Y022611905, TRANSMIT_SUPERVISOR_ID=3012043252, HOST_SUPERVISOR_ID=64 00, TRANSACTION_CODE=15107, ACTION_CODE=, TRANSACTION_MODE=R, NO_OF_RECORDS_TO_RETRIEVE=4, MORE_RECORDS_INDICATOR=N, SEARCH_METHOD=F, RESPONSE_ERROR_CODE_1=, RESPONSE_REASON_FOR_CODE_1=, RESPONSE_ERROR_CODE_2=, RESPONSE_REASON_FOR_CODE_2=, RESPONSE_ERROR_CODE_3=, RESPONSE_REASON_FOR_CODE_3=, RESPONSE_ERROR_CODE_4=, RESPONSE_REASON_FOR_CODE_4=, RESPONSE_ERROR_CODE_5=, RESPONSE_REASON_FOR_CODE_5=, DATE_IN_FROM_CLIENT_DDMMYYYY=30052019, TIME_IN_FROM_CLIENT_HHMMSS=120432, ACCOUNT_NO=0, ACCOUNT_TYPE=T, CIF_NO=210021411, NEXT_ACTION_CODE=, FILLER=}
[2019-05-30 12:04:32,442 INFO](com.ib.message.common.MsgUtils) - parsed response - class com.ib.message.response.inquiry.AccountSummaryByCifResponse:{CUSTOMER_NUMBER=210021411, NUMBER_OF_ACCOUNT=[
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000066663, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000066663, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=100000.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000066670, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000066670, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=100000.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000066748, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000066748, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=150000.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1},
{ACCOUNT_TYPE=T, ACCOUNT_NUMBER=3007021000066755, ACCOUNT_RELATIONSHIP=P, ACCOUNT_NUMBER2=0003007021000066755, TYPE_DESC=Maturity Profit, RELATIONSHIP_DESC=Primary, REMARKS=, CURRENCY_TYPE=MYR, PARTICIPATION_CODE=, LOAN_AMOUNT=100000.00, ACCOUNT_STATUS=ACTIVE, MONTHS_IN_ARREARS=0, MODE_OF_OPERATION=1}]}
#2 Updated by Stephanie Sufrapto about 5 years ago
- Status changed from Work Completed-End life cycle to Pending Prod Deployment
- Assignee changed from Zahir Abd Latif to Stephanie Sufrapto
#3 Updated by Stephanie Sufrapto about 5 years ago
- Status changed from Pending Prod Deployment to Work Completed-End life cycle
- Assignee changed from Stephanie Sufrapto to Zahir Abd Latif
Migration ID 107 at 29 August 2019
Hi Zahir kindly close this.
TQ