- All account transactions must
be captured and reported in the format specified.
- The bank must print customized serially numbered
deposit slips in 5 copies.
- Revenue collection must be captured only once at
the customer-teller interface and integrated seamlessly
with the bank's normal operational procedures.
- The bank must install a software system to validate
integrity of data at the point of data capture (i.e.
in the teller module) and before transmitting to ABC.
- All account transaction data must be automatically
extracted and transmitted to ABC on an hourly basis.
- ABC to receive hard-copy printout of daily transactions
sorted by value date together with daily account closing
balances. This copy will be acknowledged by ABC and
receipts prepared within 2 working days after transaction
value - date. If there are no transactions on a given
day, a written notification of this should be sent.
- The bank must deliver weekly statement before 10.am
on Mondays.
- The bank must deliver monthly statement within 2
working days of end of month.
- The bank must provide a PC with a 24 x 7 direct
internet Connectivity.
- Bank must be upto-date in remittance of all taxes
due to LASG, and in compliance with filing of returns
on new accounts (as required by sections 48 (1) and
49 (1,2) of the personal Income Tax Decree).
- Bank must be able to provide electronic copy of
supporting detail information on WHT and PAYE as indicated
in attached format for Analysis Data.
- ProcessorID (ABC Assigned)
**
- BeneficiaryID (ABC Assigned) **
- AppliedDate (DD/MM/YYYY)
- EntryDate (DD/MM/YYYY)
- AmountDeducted
- RevCode
- Total Remittance
- BankTransID
- AccountNumber
- BankCode
Note: Z-NNNNNNNN(BBBB)/
Payer Name
Where
Z is entity type (C-Company or Regd Business, N-individual)
NNNNNNNN
is the entity unique ID assigned by Alpha-Beta Consulting
(ABC)
BBBB
- is the branch ref Code assigned by Alpha-Beta Consulting
(ABC)
NNNNNNNN,
BBBB - Can be obtained on this site (www.lasg-ebs-rcm.com)
for registered TaxPayers
Item 1: Unique identification Code for the Company/Individual
Processing this transaction
Item 2: Unique identification Code for the Company/Individual,
from whom amount was deducted,
Item 3: AppliedDate indicates the date amount was deducted
from indicated PayerID (2).
Item 4: Entry Date indicates the date amount was remitted
to the LASG.
Item 5: AmountDeducted is the actual amount deducted
from PayerID (2) for the month indicated inAppliedDate
(3).
Item 6: See attached list of valid revenue codes (applies
only to PAYE & WHT).
Item 7: Total Remittance is the total actual amount remitted
by the CoyID (1) for the month indicated in the AppliedDate
(3).
Item 8: BankTransID represents Unique Entry No (3) shown
in Remittance Data.
Item 9: Account Number refers to the LASG account number
in the Remitting bank (4) shown in Remittance Data.
Item 10: BankCode is the CBN Assigned bank code of the
remitting bank (1) shown in Remittance Data.
- BANK CODE (CBN Assigned)
- BRANCH NAME (Location)
- UNIQUE ENTRY NO (Sequential)
- ACCOUNT NUMBER
- DEPOSIT SLIP NO / CHEQUE NO
- ENTRY DATE (DD/MM/YYYY)
- VALUE DATE(DD/MM/YYYY)
- AMOUNT
- AGENCY CODE
- REVENUE CODE
- PAYER ID/NAME
- NARRATION
- REVERSAL ENTRY NO
- ASSESSMENT REFERENCE
- APPLIED DATE
Note:
Item 5: For
withdrawals enter LASG Cheque No; for all deposits enter
Deposit Slip No (which should be unique and sequential)
Item 9: Refer to Agency Codes List
Item 10: Refer to Revenue Codes List
Item 11: Z-NNNNNNNN(BBBB)/Payer Name
Where
Z is entity type (C-Company or Regd Business, N-individual)
NNNNNNNN
is the entity unique ID assigned by Alpha-Beta Consulting
(ABC)
BBBB
- is the branch ref Code assigned by Alpha-Beta Consulting
(ABC)
NNNNNNNN,
BBBB - Can be obtained from ABC web site (www.lasg-ebs-rcm.com)
for registered TaxPayers
Item 12: For
Property Tax, indicate address and Local Government Area
For Waste Billing, Enter Ref Code - Example 022/SH171/D014/6 Item 13: Use
the previous Unique Entry No. in (Item-3) for the following:
a) Correction of Bank Posting Errors
b) Reversal of collection
c) Reversal of payment
Item 14: For Waste, enter Invoice No/Assessment Ref No
and for Tenement Rate, enter Assessment Ref No
Item 15: For
PAYE, WHT or Direct Assessment, please indicate the
Applicable Period exactly as you wish it to
appear on the receipt e.g. "June 2005"
For NTDA, please indicate pbt & block no & whether full or part payment. |