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https://issues.apache.org/jira/browse/FINERACT-1315?page=com.atlassian.jira.plugin.system.issuetabpanels:all-tabpanel
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Bharath Gowda updated FINERACT-1315:
------------------------------------
    Description: 
The transactions at the loan level which happens when we transfer a client from 
one office to another are not posting accounting JE entries.

 

to reproduce

1. create/disburse an individual loan with any loan product that has accounting 
enabled

2. transfer the client from one office to another office using the "transfer 
client" button from the client view screen

3. active loans will get "transfer initiated" and "transfer approved" 
transactions which will actually transfer the loan's portfolio to a new 
transferred branch, which is not happening currently.

 
h3. Expected Result

Ideally when a client transfer happens (from Office A to Office B) the 
portfolio of Active loans will be moved (in 2 steps) from one office to another 
along with the client.

No Accounting entries will happen for closed/submitted for approval/approved 
loans

 

Step 1: *Transfer Initiated* 

Transfer Initiated transaction is posted on the active loan for the outstanding 
amount

with Accounting entries (below are GL mapping parameter names at loan product 
configuration)

 

DR: Transfers in suspense (Office A)

CR: Loan Portfolio (Office A)

 

Step 2: *Transfer Approved*

Transfer Initiated transaction is posted on the active loan for the outstanding 
amount

with Accounting entries

DR: Loan Portfolio  (Office B)

CR: Transfers in suspense (Office B)

 

NOTE:

if *Transfer is cancelled*

DR: Loan Portfolio (Office A)

CR: Transfers in suspense (Office A)

  was:
The transactions at the loan level which happens when we transfer a client from 
one office to another are not posting accounting JE entries.

 

to reproduce

1. create/disburse an individual loan with any loan product that has accounting 
enabled

2. transfer the client from one office to another office using the "transfer 
client" button from the client view screen

3. active loans will get "transfer initiated" and "transfer approved" 
transactions which will actually transfer the loan's portfolio to a new 
transferred branch, which is not happening currently.

 

 

 


> transfer of client from one office to another are not posting accounting 
> entries
> --------------------------------------------------------------------------------
>
>                 Key: FINERACT-1315
>                 URL: https://issues.apache.org/jira/browse/FINERACT-1315
>             Project: Apache Fineract
>          Issue Type: Bug
>          Components: Accounting, Client
>    Affects Versions: 1.4.0
>            Reporter: Bharath Gowda
>            Priority: Blocker
>         Attachments: 1.png, 2.png
>
>
> The transactions at the loan level which happens when we transfer a client 
> from one office to another are not posting accounting JE entries.
>  
> to reproduce
> 1. create/disburse an individual loan with any loan product that has 
> accounting enabled
> 2. transfer the client from one office to another office using the "transfer 
> client" button from the client view screen
> 3. active loans will get "transfer initiated" and "transfer approved" 
> transactions which will actually transfer the loan's portfolio to a new 
> transferred branch, which is not happening currently.
>  
> h3. Expected Result
> Ideally when a client transfer happens (from Office A to Office B) the 
> portfolio of Active loans will be moved (in 2 steps) from one office to 
> another along with the client.
> No Accounting entries will happen for closed/submitted for approval/approved 
> loans
>  
> Step 1: *Transfer Initiated* 
> Transfer Initiated transaction is posted on the active loan for the 
> outstanding amount
> with Accounting entries (below are GL mapping parameter names at loan product 
> configuration)
>  
> DR: Transfers in suspense (Office A)
> CR: Loan Portfolio (Office A)
>  
> Step 2: *Transfer Approved*
> Transfer Initiated transaction is posted on the active loan for the 
> outstanding amount
> with Accounting entries
> DR: Loan Portfolio  (Office B)
> CR: Transfers in suspense (Office B)
>  
> NOTE:
> if *Transfer is cancelled*
> DR: Loan Portfolio (Office A)
> CR: Transfers in suspense (Office A)



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