4.2 Product Code - FSB2

FSB2 – Tom (FX Tom Deal)

Business Scenario

This financial product that is, Cash helps customers/Corporate to Purchase/Sale the Foreign Exchange Currencies at Cash Market.

Targeted Customer Segment: Inter Bank Clients who seek Cash Foreign Currency Buy/Sell

Introduction

Cash product FSB2 is used to Buy/Sell the Foreign Exchange Currency at Cash Market. The settlement of the deal is done immediately.

Synopsis (ex. High level features etc.)

  • Tom Product is used for Purchase/Sale of Foreign Exchange from Spot Market.
  • The maximum period is 2 Days (T+1 Day).
  • Customers of both type types that is, retail customers and corporate could be covered under this product.
  • It may or may not involve insistence of Limit.

Detailed Coverage

Product FSB2 covers the following features:

  • Booking of Deal
  • Settlement Message
  • Payment Settlement
  • Settlements
    • Conventional
    • Continuous Linked Settlement

Events Covered (including brief information on accounting)

Product FSB2 has the Life Cycle as listed below:

Table 4-3 Events Covered

Events Covered Terminology
BOOK Contract Booking event triggers when Bank Initiate the Deal.
CONF On Counterparty Confirmation this event will get triggered.
AMND Contract Amendment event triggers on modifying a deal.
REAS Reassign User event will get triggered on new User Assign.
SGEN Settlement Message Generation
CANC Deal Cancellation event will get triggered on cancellation of the deal.
LIQD Liquidation Event will get triggered on Manual/Auto Payment of the Deal
REVP Payment Reversal is processed under this event
REVR Contract Reversal is processed under this event

Advices Supported

Following Below are the advices supported for the Cash Deal Product FSB1:
  • Confirmation Advice Confirmation
  • Contract Amendment
  • Contract Reversal
  • Deal Slip

Messages

Following SWIFT Messages setup done in the IDRS product as part of product life cycle.

Table 4-4 SWIFT Messages

SWIFT Messages Contact Field
MT 300 Confirmation, Amendment, Reverse
MT 304 T-Copy Settlement
MT 103/MT 202/MT 205 Payment Message
MT 192/ MT 292 Payment Reversal
MT 210 Receive Notice
MT 940/ MT 950 Account Statement

Generic Features

Cash Product FSB1 features include:

  • Deal Booking
  • Cross Currency Contract Booking
  • Counterparty Confirmation
  • Contract Re-assign
  • Holiday period treatment
  • Capturing of UDE values
  • Liquidation of Contract – Auto / Manual

Special/Other Features

Other Features

Other Features of the Cash Product FSB2 are as below:

  • Split Value Date
  • Partial Liquidation of the Contract
  • Partial Cancellation of Contract
  • Limit Tracking
  • CLS Status Change
  • CLS Alleged Deal Status Change
  • CLS Net Position Check
  • CLS Status Change Alert