How can we change interest rate for a fixed term deposit in the middle of the contract
I have a scenario here.
I have invested in a fixed term deposit for the next five years- contract starting from 01.04.2014 to 31.03.2019 with interest rate 9.25 %.
Mentioned all the above details in the FTR_CREATE and did all the subsequent steps. After one year interest changes to 9.00%.
Can we change interest rate at this stage? If so, how can we achieve this ?