A.3.1 BOOK Booking an FX contract
Table A-4 Accounting Entries
| Accounting Role | Amount Tag | Dr./Cr. Indicator |
|---|---|---|
|
CONTINGENT BOT |
BOTAMT |
Debit |
|
CONTINGENT SOLD |
SOLDAMT |
Credit |
|
BROK_PAID |
BROKAMT |
Debit |
|
BROK_PAYABLE |
BROKAMT |
Credit |
Table A-5 Advices
| Advice Name | Description |
|---|---|
|
FX_DEALSLIP |
Deal Slip |
|
FX_DEALRMTLX |
Dealing Room Confirmation Advice |
|
FX_BROKERAGE |
Brokerage Advice |
|
FX_CONFIRMN |
Confirmation Advice |
|
NDF_CONF_ADVICE |
NDF Confirmation Advice on BOOK event of NDF Forward Contract |
The following new tags are introduced for NDF Contracts for advice generation:
Table A-6 Advices
| MSG_TAG | Remarks |
|---|---|
|
_NDFCUR_ |
NDF Currency |
|
_NDFBASIS_ |
NDF Fixing Basis |
|
_NDFSETCCY_ |
NDF Settlement Currency |
|
_NDFFIXINGDATE_ |
NDF Fixing Date |
|
_NDFACTFIX_DATE_ |
Booking Date of NDF Fixing Contract |
|
_NDFSETAMOUNT_ |
NDF Settlement Amount |
|
_NDFFIXINGSTATUS_ |
NDF Fixing Status |
|
_NDFSETAMTDR_ |
Debit Indicator |
|
_NDFSETAMTCR_ |
Credit Indicator |
|
_RECEIVER_ |
Receiver information |
|
_RECEIVER1_ |
Receiver information 1 |
|
_RECEIVER2_ |
Receiver information 2 |
|
_RECEIVER3_ |
Receiver information 3 |
|
_SENDNAME_ |
Sender Name |
|
_SENDER1_ |
Sender Address 1 |
|
_SENDER2_ |
Sender Address 2 |
|
_SENDER3_ |
Sender Address 3 |
|
_SYSDT_ |
System Date |
|
_PRODDESC_ |
Product description |
|
_CONTREFNO_ |
Contract Reference number |
|
_BOOKDT_ |
Booking Date |
|
_EVENTDT_ |
Event Date |
|
_BOTCCY_ |
Bought Currency |
|
_NDFSETAMTCR_ |
Credit Indicator |
|
_BOTAMT_ |
Bought Amount |
|
_BOTVALDT_ |
Bought Value Date |
|
_EXCHRATE_ |
Exchange Rate |
|
_SOLDCCY_ |
Sold Currency |
|
_SOLDAMT_ |
Sold Amount |
|
_SOLDVALDT_ |
Sold Value Date |
|
_SENDACINSTN1_ |
Acct with Institution 1 |
|
_SENDACINSTN2_ |
Acct with Institution 2 |
|
_SENDACINSTN3_ |
Acct with Institution 3 |
|
_SENDACINSTN4_ |
Acct with Institution 4 |
Parent topic: Event-wise Accounting Entries and Advices