12.10 Monitoring the Data Adjustment Batch through the Batch Monitor Pane

To monitor the data adjustment batch through the Batch Monitor pane follows these steps:

  1. From Financial Services Data Governance for North America Regulatory Reporting window navigate to Operations and the select Batch Monitor.
  2. The Batch Monitor pane appears on the right-hand side.

    Figure 12-18 Batch Monitor


    This illustration shows the Batch Monitor window where you can monitor the data adjustment batch through the Batch Monitor pane.

  3. In the Batch Details section, select the Batch ID which was executed during the Batch Execution.
  4. In the Batch, Run Details section, click the Information Date drop-down and then select the MIS Date. This is the date on which the Data Quality had failed at the staging.
  5. Click the Batch Run ID drop-down box and select the required value.
  6. Click the Start Monitoring icon.
  7. The Batch Status, Task Details, and Event Log sections appear in addition to the existing details in the Batch Monitor pane.
  8. Select any task in the Task Details section to view its Event Log details.
  9. After the successful execution of the data adjustment batch, the Action Owners must mark the action progress to 100% or mark the Action as completed.

    Note:

    Based on the adjustment type, check the tables against which the adjustments have been passed.