Import Bank Guarantee - Beneficiary (tcgtc0660m010)

Use this session to view and maintain the import bank guarantees defined as a beneficiary.

Note: 

You can access this session only if the Trade Management check box is selected in the Implemented Software Components (tccom0100s000) session.

To view and define the import bank guarantee as a beneficiary, at least one check box must be selected in the Bank Guarantee - Beneficiary and the Bank Guarantee - Applicant sections of the Financial Trade Management Parameters (tcgtc9199m000) session.

Field Information

Financial Company

The financial company associated with the import bank guarantee of which you are the beneficiary.

Description

The description or name of the code.

Applicant

The code of the applicant who requests a bank guarantee.

Name

The name of the applicant who requests a bank guarantee.

Issuer

The code of the bank that issues the bank guarantee.

Description

The description or name of the code.

Bank Guarantee Type

The code of the bank guarantee type.

Description

The description or name of the code.

Kind of Bank Guarantee

Indicates the kind of bank guarantee.

Allowed values

Accessory
Independent
Bank Guarantee ID

The unique identification number of the bank guarantee.

Version

The version number of the bank guarantee.

Status

Indicates the status of the bank guarantee.

Allowed values

Preliminary
Definitive
Requested
Received
Issued
Sent to Beneficiary
Closed
Canceled
Approved

Indicates whether the import bank guarantee is approved.

Bank Guarantee Number

The sequence number of the bank guarantee.

Effective Date

The date and time from which the bank guarantee is effective.

Expiry Date

The date and time on which the bank guarantee expires.

Text

If this check box is selected, a text related to the import bank guarantees of which you are the beneficiary exists.

Responsible Employee

The code of the employee who creates the import bank guarantee.

Name

The description or name of the code.

Responsible Office

The code of the logistic company in which the office responsible for the import bank guarantees is defined.

Responsible Office

The code of the office responsible for the import bank guarantees.

Currency

The code of the currency in which the bank guarantee amount is expressed.

Description

The description or name of the code.

Bank Guarantee Amount

The maximum amount for which the bank guarantee is valid.

Ordered Consumed Amount

The amount ordered by the document linked to the bank guarantee but not yet used.

Delivered Consumed Amount

The actual amount used by the document linked to the bank guarantee.

Remaining Amount

The part of the bank guarantee amount that is not used.

Invocation Amount

The part of the bank guarantee amount that is not used.

Instructing Party

The code of the party that gives instructions to issue a bank guarantee or a counter-guarantee.

Presenter

The code of the presenter for the bank guarantee on behalf of the applicant or the beneficiary.

Guarantor

The code of the party that issues a bank guarantee.

Description

The description or name of the code.

Counter Guarantor

The code of the party that issues a counter-guarantee.

Description

The description or name of the code.

Advising Party

The code of the party that advises the bank guarantee based on the request raised by the guarantor.

Description

The description or name of the code.

Buy-from Business Partner

The buy-from business partner associated with document linked to the import bank guarantee.

Ship-from Business Partner

The ship-from business partner associated with document linked to the import bank guarantee.

Invoice-from Business Partner

The invoice-from business partner associated with document linked to the import bank guarantee.

Pay-to Business Partner

The pay-to business partner associated with document linked to the import bank guarantee.

Exchange Rate Type

The code of the exchange-rate type that must be applied for the bank guarantee currency and the home currencies.

Description

The description or name of the code.

Rate Determiner

Indicates the method to determine the rates between the bank guarantee currency and the home currencies.

Rate Date

The date and time when the rate applied for the bank guarantee currency and the home currencies is determined.

Rate / Rate Factor

The rate (currency exchange rate).

Rate Factor

The rate factor that must be used to convert the currency before the exchange rate is applied to the bank guarantee currency and the home currencies.

Allow Document Approval for Not-Issued Bank Guarantee

If this check box is selected, the document linked to the bank guarantee is approved even though the bank guarantee is not issued.

Amendment Number

The sequence number of the amendment. This number must be the latest in the series of all amendments made, regardless of the means by which previous amendments are sent.

Amendment Date

The date and time of the last amendment of the bank guarantee.

Status

Indicates the status of the bank guarantee.

Allowed values

Preliminary
Definitive
Requested
Received
Issued
Sent to Beneficiary
Closed
Canceled
Reason

The code of the reason for the cancellation or closure of the bank guarantee.

Description

The description or name of the code.

Modified By

The code of the user who last modified the bank guarantee.

Modified Date

The date and time when the bank guarantee is modified.