HAL E-BANK MANUAL CROSS-BORDER PAYMENTS AND OPERATIONS WITH FOREIGN CURRENCIES. Hal E-Bank version: 16.X.X.01

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HAL E-BANK MANUAL CROSS-BORDER PAYMENTS AND OPERATIONS WITH FOREIGN CURRENCIES Hal E-Bank version: 16.X.X.01

Content of Manual The manual consists of nine content sections and two sub-sections. The current section is highlighted on the list. The manual's content sections are also available online at wwweng.halcom.si/support. 1. PAYMENTS + CROSS-BORDER PAYMENTS AND OPERATIONS WITH FOREIGN CURRENCIES + REMOTE SIGNING 2. ADDRESS BOOK 3. QUALIFIED DIGITAL CERTIFICATE ONE FOR ALL 4. REVIEW OF BALANCE, TRANSACTIONS AND STATEMENTS 5. BANK NOTICES AND MESSAGES TO BANK 6. ADDITIONAL TOOLS AND SETTINGS 7. NEW PAYMENT INSTRUMENTS 8. E-INVOICES 9. SEPA DIRECT DEBIT

Table of Contents Cross-border Payments and Operations with Foreign Currencies... 4 VP70 and UPN/SEPA Payment Orders... 5 UPN/SEPA payment order - Appearance... 6 Transfer Order... 7 Inflow Statistics... 8 Inflows... 9 Exchange Rate Lists... 10 SWIFT Receipts... 11

Cross-border Payments and Operations with Foreign Currencies In the subsection Cross-border payments and operations with foreign currencies the following elements are presented: VP 70 payment order (cross-border payments), UPN/SEPA payment order (transfers in the SEPA area in EUR), transfer order (transfer in a currency other than EUR or exchange of currencies), Inflow from abroad statistics, inflow, exchange rate lists and SWIFT receipts. Cross-border payments and operations with foreign currencies are conducted as described in the Payments section. Cross-border payments and operations with foreign currencies will be enabled if in the drop-down menu (A) above the field with displayed account you select the»foreign payments«option. WARNING The types of operations you can select are related to the authorizations, which you arrange with your bank administrator. If you don't have the»foreign payments«option in the selection, contact your bank administrator. -4- -4-

VP70 and UPN/SEPA Payment Orders The VP70 payment order is used for payments to a creditor with headquarters outside of the territory of the Republic of Slovenia and in currency other than EUR. UPN/SEPA payment order is used for payments in euros within the SEPA area. 1 Select»Foreign payments«1. 2 Select the account. 3 Enter the folder Preparation > Orders. 4 Select the command Enter > Foreign payment order- VP70 or UPN/SEPA payment order. The selected order opens up. 5 The debtor data (5a) will be completed automatically. Enter the creditor data manually or select them from the address book by clicking the symbol»?«(5b) (See the Payments section for more information on completing orders, use of address book and sending orders to the bank). 6 If the order amount is higher than the regulatory prescribed amount, you will also have to complete the statistics data. Statistical code can be entered manually (6a) or you select it from the list (6b), which opens up by clicking number 1 at the beginning of the row next to the»stat. code«field. Complete the remaining data. 7 Confirm the entry by clicking the OK button. The prepared order is sent to the bank in a way as described in the Payments section (see the Payments section). 1 If you don't have the»foreign payments«option in the selection, contact your bank administrator. -5-

UPN/SEPA payment order - Appearance -6-

Transfer Order Money transfer order enables the following: Exchange between different currencies, Transfer of funds among own accounts, and Payment to business partner s account, which is open with a bank in Slovenia. Money transfer order can be completed in the folder Preparation > Transfers (3). It shall be used when at least one currency is not EUR (credit currency (A) or coverage currency (B)). You can enter only one amount in the order credit or coverage/debit - as the other amount is calculated by the bank by the currently valid exchange rate. 1 Select»Foreign payments«1. 2 Select the account. 3 Enter the folder Preparation > Transfers. 4 Select the Enter command. Domestic payment order in foreign currency opens up. 5 Debtor data (5a) will be completed automatically into the corresponding 1 If you don't have the» Foreign payments«option in the selection, contact your bank administrator. fields. Enter creditor data from the address book (5b). 6 Complete the remaining data. Confirm the entry by clicking the OK button. The prepared order is sent to the bank. (See the Payments section for more information on completing orders, use of address book and sending orders to the bank). -7-

Inflow Statistics Statistical report must be completed when the inflow amount from abroad is higher than the regulatory prescribed amount. In such cases, a bank sends a form for the preparation of the statistical report. The statistical report must be completed and sent to the bank within the set deadline. 1 Select»Foreign payments«1. 2 Select the account. 3 Unsent statistical reports are saved in the folder Preparation > Statistics. 4 Select the statistics. You can open the statistical report form by double clicking on the statistics data or by using the command Prepare > Open. An additional warning window opens up, which you shall confirm. 5 Complete the statistical code, which you can either: a. Enter manually (5a) or b. Open the list of codes by clicking on number 1 (5b), select a code 1 If you don't have the»foreign payments«option in the selection, contact your bank administrator. from the list (5c) and click Select (5d). 6 Confirm the prepared statistical report by clicking OK. 7 The statistical report is ready and is waiting in the Delivery folder to be sent to the bank. (See the Payments section for more information on sending orders to the bank). 8 When you send the statistical report to a bank, it moves to the folder Archive > Statistics, where it has the»sent«status. TIP By clicking the command Prepare > Reference, you open an inflow to which the selected statistical report relates. -8-

Inflows Inflows are displayed in the folder Review > Inflows (4), where you can review inflows for the selected time period, print and export data. 1 Select»Foreign payments«1. 2 Select the account. 3 Select the time period. 4 Inflows are saved in the folder Review > Inflows. 5 Select the inflow data (5a). Open the inflow by double clicking or by using the command Open > Open (5b). 6 The inflow data will appear. You can print them (6a). Close the window by using the Exit command (6b). 7 You can export the inflow data or you can review or print the statement. A You can conduct insight into the inflow statistics by using the command Open > Reference (5b), which opens a message saved also in the folder Preparation > Statistics (A), when it is sent by the bank for the selected inflow (see page 8). 1 If you don't have the» Foreign payments«option in the selection, contact your bank administrator. -9- -9-

Exchange Rate Lists Exchange rate lists are located in the folder Review > Exchange rates. They are marked with sequence number and date. Exchange rates are sent to the e-bank by your bank; you receive the latest valid one when refreshing data (click the icon [marked with an arrow on the picture ] in the tool bar). Exchange rate lists can be reviewed, printed and exported 1. 1 Select»Foreign payments«2. 2 Select the account 3 Select the time period. 4 Exchange rate lists are saved in the folder Review > Exchange rates. 5 Select the exchange rate list (5a). By double clicking or by selecting Review (5b), the exchange rate data will open. Close the window by clicking the symbol (5c). 6 Data can be exported, while statement can be reviewed or printed. 1 The exchange rate list export procedure is the same as the standard transaction item export, which is described in the section Review of Balance, Transactions and Statements. 2 If you don't have the» Foreign payments«option in the selection, contact your bank administrator. -10- -10-

SWIFT Receipts SWIFT receipts are located in the folder Review > SWIFT. They are sent to the e-bank by your bank, when it conveys your payment order into the execution to a bank abroad. SWIFT receipts can be reviewed, printed or exported 1. 1 Select»Foreign payments«2. 2 Select the account. 3 Select the time period. 4 SWIFT receipts are saved in the folder Review > SWIFT. 5 Select the SWIFT receipt (5a). By double clicking or by selecting Review (5b), the receipt data will open. Close the window by clicking the symbol (5c). 6 Data can be exported, while the statement can be reviewed or printed. 1 The SWIFT receipt export procedure is the same as the standard transaction item export, which is described in the section Review of Balance, Transactions and Statements. 2 If you don't have the» Foreign payments«option in the selection, contact your bank administrator. -11-