Copyright Notice
Introduction
Security
Infrastructure
Accounting
Investment
Product Launch Requirements
Products
Clients
Processes
Annuity Payment Type Definition and Uses
Reports
System Reports
My Work
Auxiliary Activities
Archive
Supplements
Accounting Activities Generated by the Payment Run
Accounting Transaction Examples
Annuity Accounting Rules
Annuity Deductions - Journal Transfers
Annuity Employer Medical Aid Contributions
Annuity Payment Type Definitions and Uses
Automated Patching
Batch Programs
Benefit Statement Setup for Projections
Bonus Investments
Bulk Upload of Home Loan Details
Calculation of Monthly PAYE for Annuities
Claim, Quote and Projection Input Questions
Creating a Member Web Site
Finding Reports
Interfaces
Investment Allocation
MIR Calculated Value
Processes
Projections on Member Web Site
Quick Reference Process Guide
Tags
Admin Report
Admin Status Report
Corporate Client
Annuity Payslip
Annuity Increase Letter
Bank Reconciliation Checklist
Beneficiary Allocation Statement
Beneficiary Fund Letter
Beneficiary Fund Statement of Accounts
Beneficiary Fund Admin Reports
Beneficiary Statement
Benefit Statements
Benefits
Claim Checklist
Certificate of Existence
Commission
Commission Statement
Communication
EFT Payment Notifications
Electronic Addresses
Endowment Product
Finance Checklist
Income Checklist
Individual Member Valuation
Investment Checklist
IRP5 and IT3 (a) Pensioner Certificates
Late Contribution Interest Letters
Life Cycle Investment Switch Notification
Tags for Member
New Entrant Statements
New Life Cycle Transfers Notification
Outstanding Contributions Letter
Payment Advice
Payroll Checklist
Paid Up Certificates
Pending Claims
Policy Schedule
Tags for Premium Increase
Productivity Reports
Tax Certificates
Tax Invoice
Trust Payment
Trust Statements
Transaction Action Codes
Take-on vs Transfer Values
Use of Payment Start Date for Annuity Tax Calculation
Bank Interfaces
Client Specific
FAQ
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