FlexFinance supports the enhancement of loaded data. If deal records that do not contain some information from inside the source system for any reason, are delivered to FlexFinance, FlexFinance can add this if the information can be derived
- from other customer or deal attributes, profit centres, organisation units or products.
- from configurations such as day count conventions, calendar rules or derived from currency.
- from any other rule-like repayment agreement, derived from product and further logic.
- from data that have been delivered in the past and belong to the period before the posting date such as old interest information, if it was delivered once and did not change.