Overview

This page helps you understand how to add a disbursement to a loan facility. As part of it, you need to enter the Value Date, Transaction Date, Disbursement amount, and Disbursement Type in the New Disbursement screen, which will be displayed on clicking the Add Disbursement option in the Disbursements section on the Loan Facility page. 


Upon submitting the  entered information, the new disbursement is added to the Disbursements section.


Adding a New Disbursement


1. On the Side Panel of Finvisage application, click Liability.

The menu is expanded.


2. On the expanded menu, click Loan Facility. See the image below: 

 

The Loan Facility page is displayed on the right pane. 


2. On the Loan Facility page, click the required loan facility.

 

The Drawdowns section is displayed.


3. In the Drawdowns section, click the External ID. See the image below:


The Drawdown page is displayed. See the image below:


4. On the Drawdown page, go to the Disbursements section.


5. Next, in the Disbursements section:


A. Click the Menu button.


B. Click Add Disbursement.

 

The New Disbursement  screen is displayed.


6. Now, in the New Disbursement screen, enter all the required information, and then . click the Submit button.


The disbursement is added and displayed on the Disbursements section. See the example image below: