Preface
This topic contains following sub-topics:
Background
Oracle Financial Services Software Limited has developed new product processor, Oracle Banking Treasury Management (OBTR), which is a comprehensive solution for managing Treasury operations for Banks. Oracle Banking Treasury Management is an online Real-time solution and enabled for a multi-entity, multi-currency, multi-lingual operations. OBTR is built on highly adaptable and modular architecture with leading edge industry standards and supports multi-tenancy deployments.
OBTR offers financial institutions, the flexibility to adapt to changing regulatory reforms in treasury markets and enable banks to improve their overall operational efficiency. OBTR provides end-to end trading capabilities for diverse range of Trading Instruments in Foreign Exchange, Money Markets, Securities, Derivatives and Over-the-counter products. OBTR is equipped with an innovative pre- settlement manager that expedites and simplifies the operational flow of the Treasury Deals.
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Purpose
The purpose of this Release Note is to propagate the features of Oracle Banking Treasury Management 14.8.0.0.0
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Audience
This document is intended for the following audience:
- Customers
- Partners
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Abbreviations
Table -1 Abbreviation
| Abbreviation | Description | 
|---|---|
| ELCM | Enterprise Limits and Collateral Management | 
| EA | External Accounting | 
| ECA | External Credit Approval | 
| OBTR | Oracle Banking Treasury Management | 
| ELCM | Enterprise Limits and Collateral Management | 
| FCUBS | Oracle FLEXCUBE Universal Banking | 
| JDK | Java Development Kit | 
| OBPM | Oracle Banking Payments | 
| OHC | Oracle Help Center | 
| OJET | Oracle JavaScript Extension Toolkit | 
| RDMS | Relational Database Management System | 
| RFR | Risk Free Rates | 
| SME | Small and Medium Sized Enterprises | 
| SWIFT | Society for Worldwide Interbank Financial Telecommunication | 
| UDF | User Defined Fields | 
| UI | User Interface | 
Table -2 Module Code and Description
| Module Code | Description | 
|---|---|
| FX | Foreign Exchange | 
| MM | Money market | 
| SE | Securities | 
| DV | Derivatives | 
| ED | Exchange Traded Derivatives | 
| OT | Options | 
| ID | Islamic Derivatives | 
| MC | Islamic Money Markets | 
| SR | Securities Repo and Reverse Repo | 
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List of Topics
| Topics | Description | 
|---|---|
| Release Notes - Introduction | This topic provides the information on the release enhancements for Oracle Banking Treasury Management. | 
| Components of the Software | This topic consists of the technology pre-requisites required for Oracle Banking Treasury Management. | 
| Environment Details | This topic provides the information on the environment details for Oracle Banking Treasury Management. | 
| Third Party Software Details | This topic provides the information on licensing of third-party software that are packaged with Oracle Banking Treasury Management. | 
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Related Documents
For more information on any related features, you can refer to the following documents:
- Oracle Banking Treasury Management User Manuals
- Oracle Banking Treasury Management License Guide
Parent topic: Preface