6.2.4 Settlement Scheme Balance Query – Transactions
The following table describes the fields displayed for the balances fetched for settlement scheme balance query.
Table 6-6 Settlement Scheme Balance Query – Transactions
Field | Description |
---|---|
Scheme ESN |
Displays the accounting event sequence number for the accounting entries posted for the Net Settlement transaction linked to the selected scheme and with the selected value date. |
Module Reference |
Contract Reference of the Cash-Margin Netting transaction linked to the selected scheme and with the selected value date. |
Module ESN |
Displays the accounting event sequence number for the accounting entries posted for the Netting transaction linked to the selected scheme and with the selected value date. |
Module Event |
Displays the Event Type of the Netting transaction. |
Module Currency Amt |
Displays the net amount settled in the currency of the Cashflows netted. |
Dr/Cr |
Displays the direction of the Netting transaction.
|
Exchange Rate |
Displays the exchange rate used to convert the net amount Cashflow currency to the Settlement Currency of the Scheme. |
Margin Currency Amount |
Displays the net amount settled in the settlement currency of the selected settlement scheme. |
Value Date |
Displays the Value Date of the netting transaction. |
Transaction Date |
Displays the date on which the netting transaction was initiated. |
Module |
Displays the module of the netting transaction. |
Amount Tag |
Displays the amount tag used for the accounting entries posted for the Netting transaction. |
Parent topic: Settlement Scheme Balance Query