4.13 Process Global Order Reconciliation Detail
This topic provides the instructions to process Global Order Reconciliation Screen Details.
The system will compare the confirmation message received from the fund house with the original message generated. If there is a mismatch in the fund price received from the fund house for this order compared to fund price received for an earlier order having same fund ID/ transaction type/ transaction date, then same will get reflect in the Global Order Reconciliation Detail screen. You can manually correct the status message as Confirmed or Rejected which will be confirmed from the fund house.
If the latest Global Order price is different from the existing fund price, then you need to confirm the Global Order price. Update the correct price in the Global Order, once the price issue is sorted out. On updating the correct price, all the Global Order will have the same price for the transaction date/fund/transaction type combination.
IF Global Order price is correct, you can update other Global Order (for same transaction date/transaction type/ fund) and even fund price. On update, all the Global Order will have same price for the transaction date/ fund/transaction type combination. Once the price is amended with the correct price, you can authorize the transaction from Global Order Reconciliation screen.
The mismatch transaction will no longer reflect in the Global Order Reconciliation Detail screen once authorized.
Parent topic: Process the Transactions - II