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23 docs tagged with "automation"

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Accounting Rules Configuration

Accounting rules allows you to create general rules for your accounts such as setting automatic accounting closures that recur on a regular basis and...

Authorization Holds Configuration

Authorization Hold (also Card Authorization or Pre-authorization) is the practice of authorizing electronic transactions processed with a debit or a...

Branches Configuration

A *branch* in Mambu is the default label for an organization's subdivision. Often branches represent:

Centres Configuration

A *centre* is the default label for a subdivision of a *branch*, which is the default label for an organization subdivision. A centre can be...

Configuration as Code Overview

You can batch configure Mambu elements - such as organization details, custom field definitions, holidays, branches, user roles, and more - using...

Configuring System Options

To set up system options for all profit-sharing arrangements, navigate to the **Configuration > System Options** tab. Typically, there is one active...

Currencies Configuration

Currencies are used to configure the currency type associated with monetary values in Mambu. For more information, see [Currencies](/docs/currencies).

Custom Fields Configuration

A custom field consists of the custom field definition and the custom field value. The *custom field definition* is the custom field you create using...

End of Day Processing and Cron Jobs

By default, Mambu runs a daily series of automated tasks outside of business hours and an hourly series of additional processing tasks. These are...

Group Role Names Configuration

With *Configuration as Code* (CasC), you may batch configure your group role names configuration via the API using YAML. For general information on...

Holidays Configuration

Whereas non-working days apply to your entire organisation, holidays can be defined as either organisation-wide or for specific branches. The...

ID Templates Configuration

An *ID template* is a representation of a type of ID document. For more information, see [ID Templates](/docs/id-templates).

Internal Controls Configuration

With *internal controls* you can set up automatic controls for loans, such as the dormancy period, the number of days you want to wait before locking...

Labels Configuration

The default labels that can be changed are clients, groups, branches, centres, credit officers, interest, fees and loan. For more information, see...

Loan Auto Approve workflow

Approve a loan account of an individual client if the client has at least 5 years of service at at the current working place, the loan amount is...

Organization Details Configuration

An *organization* is how we refer to your institution, including staff members and the different branches. For more information about your...

Repayment due in 10 days

A 3rd party system must be notified about installments, which are due in 10 days, for all loan accounts held by individual clients in order to send...

Schedulers and holidays

The scheduler and holidays settings control when incoming and outgoing payments are processed. Schedulers have two jobs, sending transactions for AML...

User Roles Configuration

With *Configuration as Code* (CasC), you may batch configure your user roles configuration via the API using YAML. For general information on CasC,...