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Cash Transaction Processing¶
Generally in Spade, cash transactions happen in the following situations:
- When loans are disbursed. (Click Here to see How to create Loan Accounts and disburse the loan)
- When loan repayments are made on client loan accounts. (Click Here to see the process)
- When loan repayments are made on group loan accounts. (Click Here to see the process)
- When loan is prepaid on client/group loan account. (Click Here to see the process)
- When deposits and withdrawals are made on Client's/Group's saving accounts. ( Click Here to see the process)
Related articles
- Page:Manage Centers
- Page:Product Mix
- Page:Enabling Floating Rate
- Page:Savings Products
- Page:Overdraft Product