This image shows the Securities Deal Input Screen. This screen has product, user reference, deal reference, security code, market code, input price, deal reference, trade date, deliver and receive are mandatory fields. The other fields are external reference number, product description, source, version number previous or next, block deal reference, reversed contract ref no, reject reason, repo/reverse repo deal reference and margin reference. The other field is main additional, security, security description, market description and option type, deal, deal quantity, original nominal, pool factor, price quote, price in local currency, absolute price, yield, deal input time, DSTL date, local currency quantity, original DSTL date, interest, interest date, maturity date, transaction date and quote by. The other field is securities from, leg product, portfolio, counterparty, counterparty name, safe keeping location, safe keeping account, leg product description with optional field accommodate lodge and auto MSTL, description, description, leg reference, user reference, broker id, money settlement date and actual MSTL date.