Temenos Transact
Updated On 23 March 2025 | Min(s) read

Pricing Adjustments

The Pricing Adjustment property class allows the user to negotiate the charge amount, interest rates at the arrangement level for multiple properties (interest/charge) by triggering <PL>-UPDATE-PRICING.ADJUSTMENTS activity. The benefits of enabling the Pricing Adjustments property class in the product include:

  • The banks can define the charge at product level, which helps to reduce the data growth.
  • When there is a need to negotiate interest / charge for the customer, the bank can do so by using Pricing Adjustments property class.
  • Interest adjustments can be fixed, floating, periodic types and can be tiered definition along with usage percentage.
  • Rate can be determined from the interest grid and can have Spread and Margin definition.

Product lines

The following Product Lines use the Pricing Adjustment Property Class:

  • Accounts
  • Deposits

Property Class type

The Pricing Adjustment Property Class uses the following Property Class types:

  • Dated
  • Non Tracking
  • Variations Supported

Property Type

There is no associated Property Type with this property class.

Balance Prefix and Suffix

The Pricing Adjustments property class is not associated with any balance prefix and suffix.

Defining Different Interest types

Banks can configure any of the interest definition along with a margin (By triggering <PL>-UPDATE-PRICING.ADJUSTMENTS activity) at the arrangement level at the time of negotiation.

  • Fixed Rate
  • Floating Rate
  • Periodic Rate
  • All of the above three interest types can also be defined or determined using Pricing Grids

When Adjust Type is set as Override.rate and the Adjustment attribute is left blank, then user can specify the following set of attributes to configure the interest definition as per their requirements.

Attribute Description
Adjust Rate Type

Specifies the interest rate type such as fixed, floating, periodic. This attribute is a part of multi-value set to define tiers.

Based on the Adjust Rate Type definition, the user can configure the related attributes.

Adjust Fixed Rate Fixed rate can be specified at the time of negotiation.
Adjust Floating Index  Floating Index (BI Key) can be specified at the time of negotiation.
Adjust Periodic Index Periodic Index (PI Key) can be specified at the time of negotiation.
Adjust Periodic Period Type Allows the user to specify the period used to fetch interest rate from the PERIODIC.INTEREST table at the time of negotiation.
Adjust Periodic Period Specifies the interest period to be used at the time of negotiation.
Adjust Periodic Method Specifies the method, the system applies when it does not find periodic interest rate in the correct bucket at the time of negotiation. The system automatically applies a method to arrive at a rate chosen by this method, that is, Closest, Next, Previous.
Adjust Initial Reset Date Allows the user to set the first reset date at the time of negotiation.
Adjust Rate Grid Allows the user to specify the interest rate grid (Pricing Grid Product ID) at the time of negotiation. This attribute is mutually exclusive with Adjust Fixed Rate, Adjust Floating Index, Adjust Periodic Index attributes.  
Adjust Periodic Reset Allows the user to set the reset frequency in case of periodic rate at the time of negotiation.
Adjust Usage Percent Allows the user to specify a percentage that is applied on the rate based on Usage Percent Basis.
Adjust Tier Amount Allows the user to specify an amount in case of level / band type of interest definition at the time of negotiation.
Adjust Spread Type Allows the user to specify the spread type like single margin, cost of funds, and so on. It is associated with Adjust Spread Oper and Adjust Spread Rate.
Adjust Spread Oper Specifies the operator of the spread type like Add, Multiply, Sub.
Adjust Spread Rate Allows the user to specify the spread rate for Adjust Spread Type at the time of negotiation.
Adjust Cust Margin Grid Allows the user to specify pricing grid product (Pricing Grid Product ID) for margin at the time of negotiation.
Adjust Cust Margin Type Allows the user to specify customer margin type (that is, single margin, cost of funds, and so on) at the time of negotiation.
Adjust Cust Margin Oper Specifies the operator of the spread type like Add, Multiply, Sub.
Adjust Cust Margin Freq Allows the user to specify the reset frequency for the pricing grid product configured in Adjust Cust Margin Grid.

Read Interest for more details.

Read Introduction to Pricing Grids for Pricing Grid related information.

  • To use the above functionality, the product rate should be defined using user set of attributes in Interest condition. However, the system uses core set of attributes for processing the interest definition.
    • If the user negotiates the interest by using the adjust set of attributes in pricing adjustments conditions (By triggering PL-UPDATE-PRICING.ADJUSTMENTS activity), then the system defaults the values captured in Adjust set of Pricing Adjustment property class to adjust set of attributes in the interest condition. Then, the system defaults the Adjust set of attributes in interest to core set of attributes in the interest condition. The system then uses the core set of attributes for processing the interest definition.
    • The User and Adjust set of attributes are maintained till the arrangement reaches the adjust expiry date. Once arrangement reaches the expiry date, the system removes the Adjust set of attributes and defaults the User set of attributes to the core set for processing the interest definition.
  • The user must set the Interest property to Pricing Grid Index Enabled property type in AA.PROPERTY to use the Pricing Grid product line functionality.
  • Pricing adjustments attributes are no-input fields at product level.

Add Pricing Adjustments Property to Existing Arrangements

The financial institutions can add the Pricing Adjustments property to the existing arrangements of the Accounts, Deposits product lines using the Add New Property, New Prop Avl, and New Prop Avl Date fields in AA.PRODUCT.MANAGER.

Banks can add the Pricing Adjustments property to the existing arrangements using Today option only in the New Prop Avl attribute. Date and Start option in the New Prop Avl attribute are restricted for Pricing Adjustments property.

Read Add New Property for more information on the configuration.

Periodic Attribute Classes

There are no periodic Attribute Classes associated with Pricing Adjustments Property Class.

Actions

The Pricing Adjustments property class is associated with the following actions:

Action Description
UPDATE Used to negotiate the interest, charge at an arrangement level

Accounting Events

The Pricing Adjustments Property Class does not perform actions that generate accounting events.

Limits Interaction

Actions associated with the Pricing Adjustments Property Class do not have an impact on the Limits.

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Published on :
Tuesday, September 2, 2025 12:28:50 PM IST