5.2.8 Variation Margin

User can view the list of those pre-netting transactions and cash transfers for Variation Margin, linked to the selected scheme and considered for this net settlement.

Click the Variation Margin button at the bottom of the Cash-Margin Net Settlement Process (MGDSETLM) function to open this screen.

Figure 5-14 Variation Margin Details

MGDSETLM

The following table describes the fields displayed for Variation Margin transactions included for this Net settlement.

* Indicates mandatory fields.

Table 5-12 Cash-Margin Net Settlement – Variation Margin

Field Description

Settlement Scheme

Displays the Settlement Scheme of the net settlement transaction.

Settlement Reference

Displays a unique reference number of the net settlement transaction.

Variation Margin Details

Group of fields to display the details about the Variation Margin transaction to be net settled.

RecSeq#

Running sequence number of the transactions displayed.

Account No

Displays the Margin Account of the Variation Margin transaction to be net settled.

Currency

Displays the currency of the selected Margin Account.

Net Profit-Loss

Displays the net movement in Profit-Loss, in Account CCY, as captured for the Variation Margin transaction to be net settled.

Statement PL

Displays the net MTM PL balance, in Account CCY, as mentioned in the Collateral Party’s statement, as captured for the Variation Margin transaction to be net settled.

Settlement Amount

Displays the Net amount, in Account CCY, to be transferred for the Variation Margin transaction to be net settled.

Transfer Amount

Displays the Net amount, in Settlement scheme CCY, to be transferred for the Variation Margin transaction to be net settled.

Transfer Action

Displays the direction of the Net amount, to be transferred for the Variation Margin transaction to be net settled.

User Comments

Displays the additional comments captured for the Variation Margin transaction to be net settled.

Netting Reference

Displays a unique reference number for the Variation Margin transaction to be net settled.

Netting ESN

Displays the accounting event sequence number for the accounting entries posted for the Variation Margin pre-netting transaction to be net settled.

  • Otherwise, it is blank