5.3.6 Main
The following table describes the main fields captured for Securities Netting transactions.
* Indicates mandatory fields.
Table 5-16 Securities Netting - Main
Field | Description |
---|---|
Safe Keeping Account |
Select the Safe Keeping Account, linked to the selected SK Location, where the Security is maintained.
|
SKL Type |
Displays the SK Location Type.
|
Remarks |
Enter any additional comments for the Securities Netting transaction.
|
Agreement / Counterparty |
Select the Agreement or Counterparty for the securities netting transaction.
|
Module |
Select Securities module to filter only market security deals or the module of the parent deals (if applicable) having linked security deals to be listed for netting.
|
Portfolio Id |
Select the Securities Portfolio having the security deals to be listed for netting.
|
Settlement SKL |
Select the Settlement SKL through which selected security is settled.
|
Security Code |
Select the Security to be net settled.
|
Process Type |
Select the process during which the security deals, to be listed for netting, are created.
|
Deal Type |
Select the type of the security deals to be listed for netting.
|
Dstl Date |
Enter the Dstl Date of the security deals to be listed for netting.
|
Message Details |
Group of fields to display the netting details that is used in the securities delivery messages. |
Net Quantity |
Displays the net quantity to be settled, calculated by considering the deals selected for netting in ‘Deals’ tab.
|
Verified |
Indicate whether he has verified the calculation of net quantity and agrees to the value displayed.
|
Parent topic: Securities Netting