Investec Bank - Corporate Cash Manager (CCM) Form Setup Instructions
Depending on how information can be extracted from the bank systems, a form can be set up in 2 ways:
- Individual account basis
The bank can only extract form details on an individual account basis. Auditors will therefore need to set up each account number as a separate form of the form type. - Entity wide basis
The bank can extract form details on an entity wide basis. Auditors can therefore send a single form of the form type using a main account number. As information is supplied on an entity wide basis all other account numbers do NOT need to be supplied.
Form Type | Form Description | Setup Instructions |
Accepted Accounts
|
---|
Escrow/Trust Account | Provides information on balances, Interest, collateral/security/facilities. An asset account is typically a current; cheque; deposit; saving; or investment etc. | Entity wide basis Only one Escrow/Trust account should be loaded per entity. Note: Account numbers should start with 1100 and not 5000 and the BCN number should be provided |
|
| Click here for a detailed explanation of the Escrow/Trust Account Form |
Note: Authorisation is required from only one client signer
Instructions:
The below guide highlights Investec Bank - Corporate Cash Manager's (CCM) specific instructions on the accepted form type.
Investec Bank South Africa Departments Not Available on Confirmation.com
These are departments that have not launched on Confirmation.com as of yet. Should an auditor want a confirmation from any of these departments, they would need to contact the department directly. Confirmation.com is constantly adding bank departments onto the system and will notify auditors once these additional departments have launched. Please refer below to a list of email addresses that can be used for manual requests.
Investec Bank - Corporate Cash Manager (CCM) Accounts
Account Name | Account Digits | Account Structure |
---|
CCM Accounts | Consists of 14 digits | 1100 - XXXXXX - YYY |
The middle 6 digits is known as the BCN number and this will be the same for all sub accounts a client may have. Auditors need to ensure that the account number loaded starts with 1100 and contains the BCN number.
Note: Authorisation is required from only one client signer
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