QB Batch 1
QB Batch 1
QB Batch 1
Batch 1
Batch 1 : Day 1
1.SSO means
Single Sign on
Single Sign of
Software sign of
Software Sign on
2.Which function key can be used to view the signature of the account holder
Ctrl x
F10
F9
F5
9.CIF Means
Customer Identification File
Customer Identification Folder
Customer Information file
Customer information factor
10.To create a new lead across an existing customer, click on the ___ icon
(+) icon
(:) icon
(*) icon
(#) Icon
Batch 1 Day 2
2.Which menu shortcut is used to add inventory from external location to double
lock
HIMI
HIMC
HISIA
HISRA
Entered Status
Posted Status
Verified Status
Deleted Status
8.Find the odd man out wrt Transactions in Finacle
HCASHDEP
HCASHWD
HXFER
HACLI
Batch 1 Day 3
2.Sundry and Suspense accounts are defined under the scheme type
OAP
OAB
OSP
OAD
6.Raghav has opened a FD in the name of Lidya.Raghav has sent the AOF to Roopa,
the officer for verification. During verification,Roopa finds a mistake in the Amount
of FD entered by Raghav while opening the account. Identify who can make the
changes before the Account opening is verified.
Roopa
Lidya
Raghav
Either Roopa or Raghav
8.Basheer has 4 accounts with your bank.On one day his son Fareed comes to the
bank and informs about the death of his father.As a banker which menu you will
invoke to freeze those accounts?
HALM
HAFSM
HACCDET
HACDET
10.Pradeep gets transfered to Raipur, He approaces the Bank for transfering his
account to Raipur branch. Which menu will you invoke to process his request.
HACXFSOL
HCAAC
HACXFRSC
HCACC
Batch 1 Day 4
1.Shuba wants a DD to be issued for 5000 drawn on Ballari by cash. Which menu
command you will use to issue the DD
HDDII
HDDIP
HDDIR
HDDMI
4.Harish wants to send Rs.5000 by NEFT to his friend Ramesh.In the Application
form he has mentioned ramesh's account id and also the IFSC Code. You are at the
EFT counter, in which field do you key-in the IFSC Code?
BIC field under beneficiary
BIC field under Customer
BIC field under Credit Details
Treasury ref no under credit details
Batch 1 Day 5
3.Harish has a home loan with your bank. His EMI is Rs.15047 per month, He had
taken a loan of Rs.1430000.He now wants to repay Rs.500000 towards the
loan.Which menu command will you use for this purpose.
HPAYOFF
HLASPAY
HLAUPAY
HCASHDEP
4.After the Payof process, to close the loan account which menu is to be invoked
HCAAC
CAACLA
HPAYOFF
HLASPAY
9.Rahul has a cheque of 5000 in todays clearing. What will be the efect after
releasing to shadow balance?
Float balance will be 5000 and funds in clearing will be 0
Funds in clearing will be 5000 and float balance will be 0
Both Funds in clearing and float balance will show 0
Both Funds in clearing and Float balance will show 5000
4.To create a new case the user has to click on (:) on which Card from the 360
degree view
4th Card
5th Card
6th Card
1st Card
7.Sundry and Suspense accounts are defined under the scheme type
OAP
OAB
OSP
OAD
9.Raghav has opened a FD in the name of Lidya.Raghav has sent the AOF to Roopa,
the officer for verification. During verification,Roopa finds a mistake in the Amount
of FD entered by Raghav while opening the account. Identify who can make the
changes before the Account opening is verified.
Roopa
Lidya
Raghav
Either Roopa or Raghav
10.Pradeep gets transfered to Raipur, He approaces the Bank for transfering his
account to Raipur branch. Which menu will you invoke to process his request.
HACXFSOL
HCAAC
HACXFRSC
HCACC
12.Harish wants to send Rs.5000 by NEFT to his friend Ramesh.In the Application
form he has mentioned ramesh's account id and also the IFSC Code. You are at the
EFT counter, in which field do you key-in the IFSC Code?
BIC field under beneficiary
BIC field under Customer
BIC field under Credit Details
Treasury ref no under credit details
14.Harish has a home loan with your bank. His EMI is Rs.15047 per month, He had
taken a loan of Rs.1430000.He now wants to repay Rs.500000 towards the
loan.Which menu command will you use for this purpose.
HPAYOFF
HLASPAY
HLAUPAY
HCASHDEP
16.Rahul has a cheque of 5000 in todays clearing. What will be the efect after
releasing to shadow balance?
Float balance will be 5000 and funds in clearing will be 0
Funds in clearing will be 5000 and float balance will be 0
Both Funds in clearing and float balance will show 0
Both Funds in clearing and Float balance will show 5000
21.HLAOPI is used to
Know the Loan Overdue details
Loan document Details
Loan Disbursement Details
Loan General Details
24.Which menu command will you use to find the blocking validations before going
for EOD
HFTR
HFTI
HSVALRPT
HACLI
28.HCLL is used to
List Customer Accounts
List the Colleteral Linkage
List the Customer Loan Accounts
Either 1 or 3
29.After the Payof process, to close the loan account which menu is to be invoked
HCAAC
CAACLA
HPAYOFF
HLASPAY
32.To create a new case the user has to click on (:) on which Card from the 360
degree view
4th Card
5th Card
6th Card
1st Card
33.Identify the incorrect Statement wrt loans
Loan Outstanding inquiry for a future date can be done i finacle
CRM provides the Unified view of Customer Loan Accounts
Amortization report can be generated using HLARSH
loan accounts of a customer can be inquired by invoking
HCRV