Trade Settlement Funding Inquiry:  Criteria Tab

The Trade Settlement Funding Inquiry enables you to determine the funds inflow or outflow into your cash accounts due to settled bill presentations and charges.  Use the Criteria Tab to enter search criteria to obtain the information you need.

To specify search criteria and submit a Trade Settlement Funding Inquiry:

  1. On the CitiDirect navigation bar, click Inquiries.  Click Trade Services Inquiries and then click Trade Settlement Funding Inquiry.  The Trade Settlement Funding Inquiry summary form appears.

  2. Click the Criteria Tab.  A red ( * ) asterisk identifies required fields.

  3. In the Base Number equals field, click the Library Look-Up button and select from the available list.  To select multiple base numbers, drag the cursor down sequential lines or hold the CTRL key as you select individual lines that are not sequential.

  4. In the Settlement Date from field, you must specify settlement dates.  To find information for bills with settlement dates that fall within a specific date range, click the drop-down arrow and select From and To dates from the calendar.  To find information for bills with a specific settlement date, enter the same date in both fields.

  5. In the Product Group equals field, the product group defaults to All.  If you would like to change the product group, click the drop-down arrow and select either Imports or Exports.

  6. Click Submit.  The Trade Settlement Funding Inquiry is run and the results appear on the Summary Form at the bottom of the page.

OR—

To save the specified criteria as default criteria used to automatically run this inquiry in the future, click Default Search Criteria Options.  Click here for more information on saving default search criteria options.

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