Multiple Fees per Loan Application
This can be achieved through the Teller functionality.
The Teller can add and repay multiple fees in one transaction via the teller module hence streamlining the fee management processing.
This can be achieved through the Teller functionality.
The Teller can add and repay multiple fees in one transaction via the teller module hence streamlining the fee management processing.
Previous Implementation: When a loan was topped up with an additional amount, the loan application would enter a pending state with a new principal amount calculated as:(Outstanding principal + Additional amount). After approval, the previous loan status would update to “New” with the adjusted principal amount. The following are steps of the new implementation.
You can now receive a transactional alert via SMS and email. An SMS and email notification(s) will now be sent to the Chairman, Secretary, and Treasurer (if their contact details are provided) for every deposit transaction made to the group’s savings account by the Teller. Follow the procedure below
This new report offers a segmented view of revenue contributions, empowering branch managers and the executive team to make data-driven performance evaluations and strategic decisions. The income report provides detailed insights into income generated by each loan officer and branch.
This release introduces an enhanced API for purchasing SMS message units using the admin’s deposit balance. Key updates include automated SMS credit deductions for Bulk, Test, and External messages, while email sending remains unlimited. Super Admins can now designate messages as Paid or Free, with corresponding balance deductions for Paid messages. Free messages are displayed…
We can be able to access these feature changes by logging into Wakandi admin panel, clicking onto Accounts then accounting from the side menu. Then choosing the Reports tab to access a drop down list of the reports. In the screenshot below, we chose the Owner’s Equity report then clicked into Options to reveal a…
Overview: This release enhances the existing import tool to support additional data fields specific to SACCO members. The new fields provide a more comprehensive member profile, allowing for improved record accuracy and easier data management. New Data Fields Added: Each new field is now available for mapping in the UI during the import process, ensuring…