Preface
This manual is designed to help you to quickly get acquainted with the Islamic Module of Oracle Banking Treasury Management.
This preface has the following topics:
Audience
This guide is intended for Back Office Data Entry Clerk, Back Office Managers/ Officers, Product Managers, End of Day Operators, and Financial Controller users.
Parent topic: Preface
Acronyms and Abbreviations
Table -1 Acronyms and Abbreviations
Abbreviations or Acronyms | Definition |
---|---|
AEOD |
Automated End of Day |
AIF |
Alternative Investment Fund |
CLS |
Continuous Linked Settlement |
CIF |
Customer Information Files |
DV |
Derivatives |
Dr |
Debit |
EOFI |
End of Financial Input |
EOD |
End of Day |
FX |
Foreign Exchange |
GL |
General Ledger |
IRS |
Internal Revenue Service |
ICCB |
Interest Commission Charge and Fee |
LCY |
Local Currency |
LIBOR |
London Interbank Offered Rate |
MM |
Money Market |
MC |
Islamic Money Market |
OBTR |
Oracle Banking Treasury Management |
OT |
Over the Counter Options |
RFR |
Risk Free Rates |
Parent topic: Preface
Conventions
The following text conventions are used in this document:
Table -2 Conventions and Meaning
Convention | Meaning |
---|---|
boldface |
Boldface type indicates graphical user interface elements associated with an action, or terms defined in text or the glossary. |
italic |
Italic type indicates book titles, emphasis, or placeholder variables for which you supply particular values. |
|
Monospace type indicates commands within a paragraph, URLs, code in examples, text that appears on the screen, or text that you enter. |
Parent topic: Preface
List of Topics
Topics | Description |
---|---|
Overview of the Islamic Money Market Module | Explains a snapshot of the features that the module provides. |
Define the Attributes of a Murabaha Money Market Product | Explains how to define the attributes specific to setting up a Money Market product. |
Process an Murabaha MM Deal | Explains the processing of Murabaha Money Market deals. |
Process Repayments | Explains the details on how repayment schedules are defined and liquidated. |
Make Profit Rate Changes | Explains value-dated changes to a Murabaha Money Market deal. |
Roll Over a Deal | Explains the details to Roll Over a Deal describing how Murabaha Money Market Deals are rolled over. |
Automatic Processing | Explains the features of the Automatic Contract Update function. |
Customer Correspondence | Explains the details of Customer Correspondence. |
Annexure A- Accounting Entries and Advices for the MC Module | Explains an event-wise listing of suggested accounting entries, and advices that can take place during the life cycle of the MM module. |
Parent topic: Preface
Related Resources
For more information, see these Oracle Banking Treasury Management resources:
-
The Procedures User Manual
-
The Products User Manual
Parent topic: Preface
Symbols and Icons
Table -3 Symbols
Icons | Function |
---|---|
Exit | |
Add row | |
Delete row | |
Option List |
Parent topic: Preface