Account Summary: Consolidated Application Output Table

Introduced Account Summary, a common table that consolidates account and instrument-level output from Funds Transfer Pricing (FTP), and Profitability Management (PFT). Users can configure mandatory, user-selected, and dynamically generated output columns; execute the load for an As of Date; and review execution logs. The load uses a staging and swap approach so the table remains available for downstream reporting and extraction while it is populated.

Provides a single, traceable source for reporting and downstream consumption, reducing query complexity and improving access to application output data.

Steps to enable and configure

NA

Key resources

  • https://docs.oracle.com/en/industries/financial-services/ofs-analytical-applications/profitability-balance-sheet-base/index.html