The image shows the Deal Matching screen. The main feature of this screen is to match deals for your bank’s own portfolios through the ETD module of Oracle Banking Treasury Management. The mandatory fields are Basket Reference and Closing Deal Reference. The optional fields are Instrument Description, Series Id, Series Name, Portfolio Id, Portfolio Description, Closing Deal Type, Value Date Time, Broker Id, Broker Name, Broker Account Description, Last Event Sequence Number, Branch, Net Profit / Loss fields along with Query and Un Match buttons. For more information on fields, refer to the field description table.