Cash management
Cash management header
The auto-disinvestment tool will determine how assets will be sold so that cash is available to cover fees, charges and income payments wherever possible. Disinvestment rules will need to be set up on the tool as part of the new products application processes. Rules can be updated at any time.
If there is insufficient cash to make a payment after the rules have been applied, a notification will be sent to your Platform mailbox.
This tool should mean that in the vast majority of cases, all payments will be kept up to date.
Take a look at the support materials available to guide you through these functions.