Fund Redemption Fee Schedule displays the name of the fund redemption fee schedule you're adding or editing. This name is created in Schedule Name.
For more information on each of the tabs of the Fee Schedules page, see the following:
- Custodian Transaction Fee Schedules
- Custodian Redemption Fee Schedules
- Fund Redemption Fee Schedules
- Custodian Fee Schedules
For more information on the process of setting up fee schedules, see Introduction to Fee Schedules.