Entering Generic Deals

This topic discusses entering generic deals.

On April 25, 2003, you receive an order to loan 500,000,000. USD for a term of 366 days.

Page

Field

Field Value

Deal Detail

 

 

Instrument Type

GENERIC

Transaction Date

04/25/2003

Instrument Base Type

Generic Instrument

Cashflows Details (group box)

 

Rate

1.6

Market Date

04/30/2003

Generic Details (group box)

 

Asset or Liability

Liability

Amount

500,000,000.00

Position Currency

USD

Start Date

04/30/2003

Term

366

Maturity Date

04/30/2004

Accounting Treatment

Other

Counterparty

BR1

Deal Status

Open

Page

Field

Field Value

Settlement Instructions page

Payment Information

Our Settle Thru SetID

SHARE

Our Settle Thru Bank

TRBNK

Our Settle Thru Account

CHCK

Counterparty's Instructions

TRBKS

Payment Method

System Check

Receipt Information

Our Settle Into SetID

SHARE

Our Settle Into Bank

TRBNK

Our Settle Into Account

CHCK

Our Settlement Instructions

TUS4P