Advantages using Treasury Management System
TMS (Treasury Management System) はCISDが自社開発した財務系統合アプリケーションシステムです。TMSは以下の9つのモジュールから構成されており、企業の会計システムや銀行とのデータ交換向けインターフェース機能も備えています。
CISDはTMSの豊富な導入実績・経験を通して、お客様がTMSによる様々なメリットを享受できるよう支援します。
(以降の説明は英語版のみとなります。ご了承ください。)
TMSのモジュール |
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① Outgoing Payment ② Incoming Payment ③ Import L/C ④ Import Bill ⑤ Export L/C ⑥ Export Bill ⑦ FX Contract ⑧ Bank Loan/Deposit ⑨ Fund Management |
System Function Overall
All Modules
Functional Modules – Outgoing Payment
Payment procedures by Cash, Cheque, Remittance, Local Vendor/Staff Reimbursement, between from Business Department, Account Department and Finance Department.
- Outgoing Payment Request Application (Business Department)
- Outgoing Payment Request Verification (Account Department)
- Outgoing Payment Request Confirmation (Finance Department)
- Report
- Request For Payment
- Instruction for Remittance (Issue)
- Application for Remittance
- Instruction for Cash Payment
- Instruction for Staff Reimbursement Payment
- Instruction for Remittance/Transfer/Chats Payment
- Instruction for Cheque Payment
- Instruction for Cheque Payment – Cancel Cheque
Functional Modules – Incoming Payment
Collection procedures by Cash, Cheque and Remittance, between from Business Department, Account Department and Finance Department.
Incoming Fund Collection Entry (Business Department)
- Incoming Fund Collection Verification (Account Department)
- Incoming Fund Collection Confirmation (Finance Department)
- Report
- Collection Memo
- Customer Receipt
Functional Modules – Import L/C
Trading procedures of Import L/C, between from Business Department, Account Department and Finance Department.
- Initiates the Import L/C Application (Business Department)
- Verify the Import L/C Application (Account Department)
- Confirm the Import L/C Application (Finance Department)
- Report
- Application of L/C
- Application for Irrevocable L/C
- Application for Amendment
- LC Application to Bank
Functional Modules – Import Bill
Trading procedures of Import Bill, between from Business Department, Account Department and Finance Department.
- Initiates the Import Bill Application (Finance Department)
- Confirm the Import Bill Application (Business Department)
- Verify the Import Bill Application (Account Department)
- Settle the Import Bill Application (Finance Department)
- Report
- Instruction for Acceptance / or Payment
- Instruction for Settlement (for Bank)
- Instruction for T/R Extension
- Settlement Notice
Functional Modules – Export L/C
Trading procedures of Export L/C of Finance Department.
- Initiates the Export L/C application (Finance Department)
- Report
- Note of Export L/C
- Note of Export L/C (Amendment)
Functional Modules – Export Bill
Trading procedures of Export Bill, between from Business Department, Account Department and Finance Department.
- Initiates the Export Bill Application (Business Department)
- Verify the Export Bill Application (Account Department)
- Confirm the Export Bill Application (Finance Department)
- Settle the Export Bill Application (Finance Department)
- Report
- Application (Business)
- Application (Finance To bank)
- Disapprove/Reject Notice
- Instruction of document disposals
- Application for Negotiation of Documentary Bill
- Notice of Discrepancies
- Letter of Guarantee
- Bank Draft
- Export Bills Settlement Notice
Functional Modules – Bank Loan and Deposit
Operation procedures of Bank Loan and Deposit of Finance Department.
- Initiates the Bank Loan or Deposit Application (Finance Department)
- Confirm the Bank Loan or Deposit Application (Finance Department)
- Repay the Bank Loan or Deposit Application (Finance Department)
- Settle the Bank Loan or Deposit Application (Finance Department)
- Report
- Bank Loan/ Deposit Instruction
- Overdue List
- Memo (Loan/ Deposit)
- Monthly Unrealized Interest Report
Functional Modules – FX Contract
Operation procedures of FX Contract, between Business Department and Finance Department.
- Initiates the FX Contract Application (Business Department)
- Verify the FX Contract Application (Finance Department)
- Execute the FX Contract (Finance Department)
- Report
- FX Contract Bank Instruction
- Instruction of FX Execution
- Instruction for Acceptance and Payment
Functional Modules – Fund Management
Operation procedures of Fund Management of Finance Department.
- Confirm the imported Bank Opening Balance (Finance Department)
- Confirm the Daily Bank Balance (Finance Department)
- Confirm the Funding Book (Finance Department)
- Confirm the Pooling Interest and Posting (Finance Department)
- Execute the Bank Account Statement Upload and Bank Reconciliation (Finance Department)
- Execute the Payroll Data Import (Finance Department)
- Report
- Daily Bank Balance Forecast Report
- Internal Facility Forecast Report
- Payment and Collection Summary Report
- Monthly Report Forex Balance
Outward Remittance Workflow
Outgoing Cheque Workflow
Outgoing Local Vendor/Staff Reimbursement Workflow
Outgoing Cash Workflow
Inward Remittance Workflow
Incoming Cheque Workflow
Incoming Cash Workflow
Incoming Cash Workflow
Import Bill Workflow
Export L/C and Export Bill Workflow
Export L/C and Export Bill Workflow
FX Contract Management Workflow