Creating a new deposit contract
The method creates a new deposit contract in the system. Required fields are the minimum set of fields for creating a deposit contract
Request Body
Branch Id
"int64"Customer ID
"int64"Date of creation of the deposit contract in the format YYYY-MM-DD
"date"Link to the loan agreement
"int64""int64"Id Currency
"int64"Deposit amount
"double"Deposit terms
Do not carry over from holidays and weekends
Hand interest rate
"double"Id of the type of deposit interest rate
"int64"Id of Interest Withdrawal Day
"int64"Id of the Method for calculating personal income tax
"int64"Id of type of deposit
"int64"Estimated contribution (rate)
"double"Fixed estimated contribution (amount)
"double"Fixed insurance premium (amount)
"double""int64"Insurance premium (rate)
"double"Interest rate
"double"Id of the Interest Calculation Method
"int64"Id Frequency of interest payments
"int64"Minimum deposit
"double"Maximum deposit amount
"double"The maximum number of possible partial withdrawals. If you want to prohibit partial withdrawal, then it is enough to leave the value zero in this field ("maxPartialWithdrawalQty": 0)
"int32"Minimum amount of additional payment
"double"Deposit term: number of months
"int32"Rules for partial withdrawal
Contribution amount
"double"Payments on the last days of the month
Number of days the fine was charged
"int32"Penalty rate
"double"Id Boundaries of the interest calculation period
"int64"Post-Contract Interest Rate
"double"Interest rate recalculation
"double"Recalculation rates
Deposit product identification number
"int64"Date of the first payment of interest on the deposit contract in the format YYYY-MM-DD
"date"Identification number of the deposit contract
"int64"Insurance
Insurance policy
Insurance premium amount
"double"Insurance premium rate
"double"Contract code
Mutual settlements through a bank
Planned date of return of the deposit in the format YYYY-MM-DD
"date"Unit Id
"int64"Responses
OK
Branch Id
"int64"Customer ID
"int64"Closing date in unix timestamp format in milliseconds
"date-time"Out of sequence line
Contract Type Id
"int64"OU Id of the user who created the contract
"int64"Id of the User who created the contract
"int32"Date of creation of the deposit contract in the format YYYY-MM-DD
"date"Link to the loan agreement
"int64""int64"Currency Id
"int64"Deposit amount
"double"Deposit terms
Deposit product identification number
"int64"Date of the first payment of interest on the deposit contract in the format YYYY-MM-DD
"date"Identification number of the deposit contract
"int64"Insurance
Insurance policy
Amount of insurance premium
"double"Insurance premium rate
"double"Contract code
Mutual settlements through a bank
Planned date of return of the deposit in the format YYYY-MM-DD
"date"Unit Id
"int64"Date of opening a deposit in unix timestamp format in milliseconds
"date-time""error""ok""int64"