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.

  • Displays ‘Dr’, if the net amount is receivable by the bank
  • Displays ‘Cr’, if the net amount is payable by the bank

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.