7.1 List of Events
The following is the pre-defined list of events that can be maintained for Margin-Netting products. In the subsequent sections we shall explain the accounting entries and advices that configured for each of the events listed below.
Table 7-1 List of Events
| Event Code | Event Description |
|---|---|
|
CMPY |
Cash Margin Pay |
|
CMRV |
Cash Margin Receive |
|
SMPY |
Securities Margin Pay |
|
SMRV |
Securities Margin Receive |
|
ADIM |
Net Initial Margin Transfer |
|
ADVM |
Net Variation Margin Transfer |
|
ADBR |
Net Brokerage Settlement |
|
LIQD |
Net Cash Flow Settlement |
|
MTOP |
Cash Net Payment |
|
MREF |
Cash Net Receipt |
|
SGEN |
External Settlement Messages |
|
RCMP |
Reverse - Cash Margin Pay |
|
RCMR |
Reverse - Cash Margin Receive |
|
RSMP |
Reverse - Securities Margin Pay |
|
RSMR |
Reverse - Securities Margin Receive |
|
RVIM |
Reverse - Initial Margin Transfer |
|
RVVM |
Reverse - Variation Margin Transfer |
|
RVBR |
Reverse - Net Brokerage Settlement |
|
RVLQ |
Reverse - Net Cash Flow Settlement |
|
RTOP |
Reverse - Cash Net Payment |
|
RREF |
Reverse - Cash Net Receipt |
Parent topic: Events and Accounting Entries