Fund Branch Vault Account
Overview
The Fund Branch Vault Account transaction feature processes cash additions to branch vaults, ensuring adequate liquidity for daily banking operations.
What It Does
Records and processes vault funding transactions from various sources including bank transfers, cash-in-transit deliveries, and internal allocations while maintaining balance limits and audit trails.
Business Value
- Cash Availability: Ensures branches never run short of cash
- Transaction Speed: Quick processing of vault funding requests
- Audit Compliance: Complete documentation of all cash movements
- Balance Control: Automatic enforcement of vault limits
- Source Tracking: Links funding to original sources for reconciliation
Who Uses This Feature
- Treasury Teams: Execute scheduled vault replenishments
- Branch Managers: Process vault funding requests
- Cash Management Officers: Monitor and manage vault liquidity
- Armored Car Services: Record cash delivery transactions
Key Capabilities
- Process multiple funding transaction types
- Track source references for reconciliation
- Real-time balance updates
- Automatic limit enforcement
- Comprehensive transaction logging
How to Use
- Select vault to fund
- Enter funding amount
- Choose source type (transfer, deposit, etc.)
- Add source reference number
- Include detailed narration
- Submit transaction
- Verify balance update
Common Use Cases
- Morning Replenishment: Daily vault funding before branch opening
- Emergency Top-Up: Quick funding during unexpected cash demand
- Opening Balance: Initial cash when setting up new vault
- Cash-in-Transit: Recording armored car deliveries
- Internal Transfer: Moving cash from central to branch vault
Important Considerations
- Must not exceed vault maximum balance
- Requires active vault status
- Source references prevent duplicate entries
- Large amounts may trigger approvals
- Physical and system balances must match
Integration with Other Processes
Connects to:
- Cash-in-Transit operations
- Treasury management systems
- Branch cash forecasting
- Daily reconciliation processes
Related Features
- Transfer From Branch Vault Account - Move cash out
- Create Branch Vault - Set up vault