3.13.6 Pre-Settled Trade

This topic provides information on pre-settled trade tab.

You can maintain transaction fund which works on clear fund concept are called pre-settled trade. i.e.,settlement date or clearing date is prior to the transaction date.

  1. Click the Pre-Settled Trade tab in Fund Preference Maintenance screen.
    The Pre-Settled Trade details are displayed in the Fund Preference Maintenance screen.

    Figure 3-21 Fund Preference Maintenance - Pre-Settled Trade



  2. On the Pre-Settled Trade tab, specify the fields.
    For more information on fields in the screen, refer the below table.

    Table 3-32 Fund Preference Maintenance - Pre-Settled Trade

    Field Description
    Transaction Type Alphanumeric; 2 Characters; Mandatory

    Specify the Transaction Type. Alternatively, you can select Transaction Type from option list. The list display all valid transaction type maintained in the system. The transaction types applicable are:

    • Subscription
    • Redemption
    Notice Period Numeric; 3 Characters; Mandatory

    Specify the value of the Notice Period.

    Calendar Basis Alphanumeric; 1 Character; Optional

    Specify the Calender Basis. Alternatively, you can select Calender Basis from the option list. The list displays all valid options available in the system. The options available are:

    • Fund Calendar
    • Actual Calendar
    Due Lag Numeric; 3 Characters; Optional

    Specify the Due Lag. This will be used to derive the Settlement Due Date from Price Date for the transaction.

    Error Messages for Pre-Settled Trade

    Table 3-33 Error Messages for Pre-Settled Trade

    Validation Type Error code Error Message

    When user tries to enter Pre-Settled Trade details whereas fund is not applicable for Pre-Settled Trade, system will prompt an error.

    E E-PRESETTLEFND Pre-Settled Trade details are not applicable for the Fund.

    When user has not entered Pre-Settled Trade details whereas fund is applicable for Pre-Settled Trade, system will raise an error.

    E E-PRESETTLEFNDMAN Pre-Settled Trade details are Mandatory

    When user tries to maintain for transaction type which is not available Transaction processing Rules in Fund Rule.

    E E -INVTRANSACTION TYPE Mismatch in transacion type maintained in Fund Rule and Pre-Settled Trade Tab

    When user tries to enter Notice Period value as 0.

    W W-NOTCPERIOD Notice Period is maintained as 0

    When user enters Due lag value as 0.

    W W-DUELAG Due Lag is maintained as 0.