Bank Guarantee Actions - Beneficiary (tcgtc0164m000)
Use this session to execute the actions for the bank guarantee as a beneficiary. The actions must be executed by the specified employees.
Field Information
- Bank Guarantee ID
 - 
            
The identification number of the bank guarantee.
 - Version
 - 
            
The version number of the bank guarantee.
 - Trade Type
 - 
            
The type of trade for which the bank guarantee is defined.
Allowed values
- Export
 - Import
 - Domestic Outbound
 - Domestic Inbound
 - Other
 
 - Status
 - 
            
The status of the bank guarantee.
 - Sequence
 - 
            
The unique sequence number for the bank guarantee document.
Note: You cannot modify the sequence number. - Action
 - 
            
The action code defined for the bank guarantee.
 - Description
 - 
            
The description or name of the code.
 - Planned Action Date
 - 
            
The data on which the action is planned for execution.
 - Responsible Employee
 - 
            
The code of the employee who is responsible for executing the action.
 - Name
 - 
            
The name of the employee.
 - Executed
 - 
            
If this check box is selected, the action is executed.
 - Execution Date
 - 
            
The date when the action is executed for the bank guarantee.
 - Remark
 - 
            
The remark associated with the action of the bank guarantee.
 - Text
 - 
            
If this check box is selected, a text related to the action that must be executed for the bank guarantee exists.