4. Process Flows
4.1 AR Clearance – Incoming Payment (None WARP)
4.1.1 Download Bank Statement – Refer to LOP SBS-P-XXXX-00X
2. Retrieve bank statement on Daily Basis
- Monitoring incoming payment
- In Excel File we arrange the transaction use the text starting RT001/10/USDHSBC…. RT "numbering/Month/currency and bank"
4.12 AR Clearing
4.2 AR Misdirect Posting (In Case of invoices assigned to WARP)
4.3 AR Billing change due date
Applicable to domestic customers' billing whose payment are due on month-end, and that particular month-end is a national/ bank holiday




















