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Trading User Manual - Oracle Documentation
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1. 2 5 2 4 Unit Holder Trading Account Mapping 2 5 241 Operations in this 5 22 292 9 9 9999 2 5 2 4 2 Checks 1 2 2 02000000000000000000 2 6 2 4 3 Designating Unit Holder Account as Statutory or Suspense Accourt 2 6 244 Fields in UH Mapping Maintenance Screen 2 6 2 5 Unit Holder Trading Account Mapping 2 7 2 5 1 Retrieving Record in Payment Clearing Summary 2 8 2 5 2 Editing 2 9 2 5 3 Viewing AEA LEAR a BEARER OKREA U e 2 9 2 5 4 Deleting 2 9 2 5 5 Authorizing Transactions eor aaee O EO E O EN 2 10 2 5 6 Amending TransacUOti asirdi iskana ieser 2 10 2 5 7 Authorizing Amended 8 2 2 000000000000 2 10 2 5 8 Copying Attributes of Transaction 1 00000 2 000001000000 2 10 2 6 Trading Transaction Maintenance Detail 2 11 2 6 1 2 11 26 2 Fiel
2. in transaction and any transaction that results in depletion in the number of units in the trading box may be considered as an out transaction Statutory Account This account is maintained by the AMC according to the regulatory requirements It is used by the AMC very much like a reserve account where the AMC can park a specified percentage of the units held by it This specified percentage is by no means constant and the AMC can use the units held in this account for trading purposes and also generate dividend earnings on them The statutory account is therefore a unit holder account in the system where the AMC can station some of the units held in its possession at any given point of time Suspense Account This account is maintained by the AMC to differentiate its own holdings from the units arising due to inflows or outflows from investor transactions One of the reasons for this differentiation is to facilitate the generation of dividend earnings for the AMC on its holdings The suspense account is therefore a unit holder account in the system where the AMC actually transfers all its holdings at a given point in time for the purpose of gaining income earnings on them When a dividend is declared and processed by the AMC or when an income distribution process is initiated all its outstanding holdings in a fund must be transferred to the suspense 21 ORACLE 2 2 1 account so that either income distribution
3. The resulting profit or loss amount for each day The cost of sales for the units that have been sold on each day 218 ORACLE 3 Function ID Glossary U 2 11 UTDUHTRD 2 5 UTSTRDTX 2 14 UTSUHTRD 2 8 ORACLE Trade User Guide September 2014 Oracle Financial Services Software Limited Oracle Park Off Western Express Highway Goregaon East Mumbai Maharashtra 400 063 India Worldwide Inquiries Phone 91 22 6718 3000 Fax 91 22 6718 3001 www oracle com financialservices Copyright 2007 2014 Oracle and or its affiliates All rights reserved Oracle and Java are registered trademarks of Oracle and or its affiliates Other names may be trademarks of their respective owners U S GOVERNMENT END USERS Oracle programs including any operating system integrated software any programs installed on the hardware and or documentation delivered to U S Government end users are commercial computer software pursuant to the applicable Federal Acquisition Regulation and agency specific supplemental regulations As such use duplication disclosure modification and adaptation of the programs including any operating system integrated software any programs installed on the hardware and or documentation shall be subject to license terms and license restrictions applicable to the programs No other rights a
4. in transaction Liquidation Liquidation of units by the AMC is a result of a management decision to sell part of its holdings to the trustee and may occur for any of two reasons minimize losses on its holdings due to unfavorable movement of fund prices e To generate earnings out of an abundance of units in the trading box a favourable price for liquidation A liquidation transaction will have the effect of depleting the number of units in the trading box and is considered an out transaction Net Settlement The net number of units that are settled due to the different transactions that occur on a business day is referred to as the Net Settlement for the day This consists of the following two components 22 ORACLE 2 2 1 1 e net number of units flowing in to the trading box due to redemption switch out amended switch in and amended subscription or initial public offering transactions This is called the Net Settlement In or NSI The NSI transaction has the effect of incrementing the number of units in the trading box and is considered an in transaction net number of units flowing out to the trading box due to subscription initial public offering switch in reinvestment amended switch out and amended redemption transactions This is called the Net Settlement Out or NSO The NSO transaction has the effect of depleting the number of units in the trading box and is consi
5. that is to be modified All unauthorized transactions with the specified details are retrieved and displayed in the lower portion of the screen Double click the record that you want to modify in the list of displayed transactions The UH Mapping Detail screen is displayed Select Unlock Operation from Action list to modify the record Modify the necessary information Click Save to save your changes The UH Mapping Detail screen is closed and the changes made are reflected in the UH Mapping Summary screen Viewing Transaction To view a transaction that you have previously entered you must retrieve the same in the UH Mapping Summary screen as follows Invoke the UH Mapping Summary Screen from the Browser Select the status of the transaction that you want to retrieve for viewing in the Authorization Status field You can also view all transactions that are either unauthorized or authorized only by choosing the Unauthorized Authorized option Specify any or all of the details of the transaction in the corresponding fields on the screen and click Search button All transactions with the specified details are retrieved and displayed in the lower portion of the screen Double click the transaction that you want to view in the list of displayed transactions in the lower portion of the screen The UH Mapping Detail screen is opened in view mode Deleting Transaction You can delete only unauthorized transactions in the sy
6. the lower portion of the screen e Double click the record that you want to amend The Trading Transaction Maintenance screen will be displayed in Amendment mode Click the Unlock operation from the Action list to amend the record e Amend the necessary information Click the Save button to save your changes Authorizing Amended Transactions An amended transaction must be authorized for the amendment to be made effective in the system Authorization of amended transactions can be done from Fund Manager Module and Agency branch Module Checks and Controls Before you authorize a trading transaction you must already have entered the fund prices for that business day and authorized the same To authorize a trading transaction in this screen e Select Authorize in the Operation field e Select the type of transaction that you must authorize in the Transaction Type field e When you select the transaction type the system retrieves all transactions of the selected type that are pending authorization and displays the details in the lower grid portion of the screen The following details are displayed for each transaction number of the transaction the date of the transaction and the mode of the transaction The and ISIN Code of the fund in which the transaction was initiated The ID of the user that has entered the transaction into the system the date on which this was done in the Maker ID and
7. with the specified details that are pending authorization are retrieved and displayed in the lower portion of the screen e Double click the transaction that you wish to authorize The UH Mapping screen is opened in view mode e Select Authorize operation from Action list When the checker authorizes a transaction details of validations if any that were overridden by the maker of the transaction during the Save operation are displayed If any of these overrides results in an error the checker must reject the transaction Amending Transaction After a transaction is authorized it can be modified using the Unlock operation from Action list To make changes to a transaction after authorization you must invoke the Unlock operation which is termed as Amend Operation e Invoke the UH Mapping Summary screen from the Browser e Select the status of the transaction that you wish to retrieve for amendment You can only amend records of transactions that are authorized e Specify any or all of the details of the transaction in the corresponding fields on the screen All transactions with the specified details are retrieved and displayed in the lower portion of the screen e Double click the transaction that you want to amend The Transaction screen will be displayed in Amendment mode Click the Unlock operation from the Action list to amend the transaction e Amend the necessary information Click the Save button to save your changes
8. Authorizing Amended Transactions An amended transaction must be authorized for the amendment to be made effective in the system Authorization of amended transactions can be done from Fund Manager Module and Agency branch Module Copying Attributes of Transaction If you want to create a new transaction having the same attributes of an existing transaction you can copy the attributes of the existing transaction to the new transaction 219 ORACLE To copy the attributes of an existing transaction to a new transaction e Retrieve the transaction whose attributes the new transaction should inherit You can retrieve the transaction through the UH Mapping Summary screen or through the F7 F8 operation which are explained in the previous section e Inthe UH Mapping Detail screen click on Copy Action e Indicate the ID for the new transaction You can however change the details of the new transactions if required As mentioned earlier if the designated account has been impacted by subsequent trading and has holdings then you cannot edit or delete the mapping in this screen 2 6 Trading Transaction Maintenance Detail Screen You can use this screen to initiate any of the trading transactions in the system You can invoke the Trading Transaction Maintenance screen by typing UTDTRDT the field at the top right corner of the Application tool bar and clicking on the adjoining arrow button Trading Transact
9. Maker Date fields The authorization status of the transaction is displayed as U indicating that it is an unauthorized transaction Highlight the row of the retrieved unauthorized transaction that you must authorize in the lower grid portion of the screen e Specify the volume of the transaction in the Amount Units or Percentage fields according to the mode of the transaction aut ORACLE 2 8 2 9 In the Operation field mark the transaction either for authorization by selecting A or rejection by selecting Similarly mark as many transactions for authorization or rejection by repeating steps 3 5 When you have finished choose the Save option to save your changes The transactions are now authorized Fund Gross Settlement Report You can use this report to query on the settlement details as on any given date for a fund or across funds in the AMC The following details are printed in the report The ID of the fund for which the settlement report is being generated and the fund base currency The application date The transaction settlement amounts for all the following types of transactions that have been allocated on the given business date and a gross summation of all the amounts The net amount settled for each type transaction is displayed which us the difference between the amounts due to the initial transactions and the amended transactions instance for IPO transacti
10. Trade User Guide Oracle FLEXCUBE Investor Servicing Release 12 0 4 0 0 Part Number E57474 01 September 2014 ORACLE Table of Contents About This Manual 42 141 52 1 1 12 Related 7 0 0111 11 1 1 153 1 1 1 4 A E 1 1 1 5 Conventions Used in this 1 1 1 5 1 General CONVENTIONS aaraa iaa 1 2 1 5 2 Keyboard CONVENTIONS 2 2 1 2 1 0 3 085 seek ce device T E 1 2 1 7 Abbreviations and 1 2 1 8 Getng tine ae eae atts 1 3 Suspense and Statutory Accounts and Trading 2 1 2 1 Introduction 2 1 2 2 Few 2 1 2 2 1 Trading 2 2 23 Operating Trading Functions 5 2 4 2 31 Triggering Net Settlement
11. ansactions in the lower portion of the screen The Trading Transaction Maintenance Detail screen is opened in view mode Deleting Transaction You can delete only unauthorized transactions in the system To delete a transaction that you have previously entered you must retrieve the same in the Trading Transaction Maintenance Summary screen as follows Invoke the Trading Transaction Maintenance Summary screen from the browser Select the status of the transaction that you want to retrieve for deletion Specify any or all of the details of the transaction in the corresponding fields on the screen and click Search button All transactions with the specified details are retrieved and displayed in the lower portion of the screen Double click the transaction that you want to delete in the list of displayed transactions in the lower portion of the screen The Trading Transaction Maintenance Detail screen is opened in view mode Select Delete operation from the Action list The system prompts you to confirm the deletion and the record is deleted physically from the system database Authorizing Transactions An unauthorized transaction must be authorized in the system for it to be processed To authorize a transaction you must first retrieve the same in the Trading Transaction Maintenance Summary screen Invoke the Trading Transaction Maintenance Summary screen from the Browser Select the status of the transaction that y
12. asks descriptions of various features and processes in the system and general information Related Documents The User Manual is organized in to various parts each discussing a component of the Oracle FLEXCUBE Investor Servicing system Audience This Fund Manager User Manual is intended for the Fund Administrator users and system operators in the AMC Organization This volume of the Fund Manager User manual is organized under the following chapter sequence About This Manual explains the structure audience organization and Chapter related documents of this manual Trade Suspense Accounts Statutory Accounts and Trading explains the Chapter 2 functions within the FC IS system that enable you to automate the trading activities of the AMC initiating and processing trading transactions and the maintenance of statutory and suspense accounts Conventions Used in this Manual Before you begin using this User Manual it is important to understand the typographical conventions used in it 1 1 ORACLE 1 5 1 General Conventions Convention Type of Information Italic type Functional foreign terms Validations for fields on a screen References to related Headings Users Manuals For emphasis Numbered Bullet Step by step procedures 1 5 2 Keyboard Conventions Type of Information Keys All keys of the keyboard are represented in capital
13. at you have set up to the desired account type statutory or suspense account using the Account Unit Holder Information screen Select New from the Actions menu in the Application tool bar or click new icon to enter the details of the Trading Transaction Maintenance screen Fields in this Screen Transaction Date DD MM YYYY Display Only This is the date on which the transaction is initiated into the system By default it is deemed as the application date which is displayed here and the field is disabled for data entry You can only initiate trading transactions on the application date and you cannot initiate trading transactions on a future date or a past date Transaction Number Enter the transaction number Transaction Type Alphanumeric Mandatory Select the type of trading transaction that you are initiating through this screen You can initiate transactions for any of the following types in this screen e Creation e Liquidation e Management Transfer Out to Statutory Account MTOST e Management Transfer Out to Suspense Account MTOSU e Management Transfer In from Statutory Account MTIST e Management Transfer In from Suspense Account MTISU Transaction Mode Alphanumeric Mandatory Select the mode in which the volume of the transaction must be reckoned and the transaction put through There are three possible modes e Amount The volume of the transaction is specified in terms of an amount Select this mo
14. ccess all these reports through the Reports menu in the Browser When you operate the trading functions of the AMC through the FC IS system it is recommended that you perform following processes e Setup the unit holders that are to be linked to the statutory and the suspense account for the AMC in the system using the Unit Holder New Account screen Authorize them and accept the information in the Registrar component e Link the unit holders that you have set up to the desired account type statutory or suspense account using the Unit Holder Trading Account Mapping Detail screen e Obtain the information about the trading position of the AMC through the Fund Gross Settlement report The gross volume or settlement due to the transactions occurring on any certain business day can be learned from this report e initiate any of the trading transactions use the Trading Transaction Maintenance Detail screen e Authorize any initiated trading transactions using the Trading Transaction Maintenance Summary Authorization screen The transactions are allocated as soon as they are authorized in the system 29 ORACLE 2 3 1 2 4 2 4 1 Triggering Net Settlement Transactions Though you can use the Trading Maintenance screen to initiate any of the trading transactions the Net Settlement Transactions NSO and NSI cannot be initiated through this screen These transactions are automatically triggered by the End of Day process at the
15. de for creation and liquidation transactions It is not allowable for the management transfer transactions e Units The volume of the transaction is specified in terms of the number of units requested Select this mode for liquidation transactions and the management transfer transactions It is not allowable for creation transactions e Percentage The volume of the transaction is specified as a specific percentage of the holdings already held in the specified fund in the trading box Select this mode if applicable only for liquidation transactions It is not allowable for any other transaction types When you select the transaction mode in this field you must specify the actual volume of the transaction in the selected mode in the Amount Units or Percentage field as applicable AMC ID Alphanumeric Mandatory Select the ID of the AMC that is initiating the trading transaction through this screen from the drop down list ORACLE Trading Agent Code Select the trading agent code from the option list FUND ISIN 12 Characters Maximum Alphanumeric Mandatory Select the ISIN Code of the selected fund If you specify the ISIN Code of a fund the ID of the fund is displayed in the Fund field Fund Id Alphanumeric Mandatory Select the ID of the fund in which the AMC is desirous of initiating the trading transaction from the drop down list When you specify the ID of the fund the ISIN Code of the fund is displayed in th
16. dered an out transaction The AMC ensures that the trading box never goes into a negative or a zero position where the net settled units due to out transactions exceed the number of available units in the box Movement of Units to and from Statutory Account or Suspense Account Any movement of units from or to the statutory account or suspense account due to management trading decisions from the trading box will result in any of the following transactions as applicable Management Transfer out to Statutory Account MTOST This activity is a result of a management decision to transfer part of the AMC s holdings from the trading box to the statutory account The MTOST transaction has the effect of depleting the number of units in the trading box and is considered an out transaction Management Transfer out to Suspense Account MTOSU This activity is a result of a management decision to transfer part of the AMC s holdings from the trading box to the suspense account The MTOSU transaction has the effect of depleting the number of units in the trading box and is considered an out transaction Management Transfer in from Statutory Account MTIST This activity is a result of a management decision to transfer part of the AMC s holdings from the statutory account to the trading box The MTIST transaction has the effect of incrementing the number of units in the trading box and is considered an
17. ds thiS 00 00 0 00 2 1 A 2 12 2 7 Trading Maintenance Summary 2 14 27 1 Retrieving 0000 0000000000000000 00 2 14 27 2 Editing 2 15 2 7 3 oleae ae 2 16 2 7 4 Deleting 022 1 0 6 2 16 2 7 5 5 2 16 2 7 6 Amending 2 17 2 7 7 Authorizing Amended 202 2 0000000000000009 2 17 2 8 Fund Gross Settlement 2 18 2 9 Trading Profit and Loss 2 18 Function ID Glossary 3 1 1 1 1 2 1 3 1 4 1 5 1 About This Manual Introduction Welcome to Oracle FLEXCUBE Investor Servicing a comprehensive mutual funds automation software from Oracle Financial Servicing Software Ltd This Oracle FLEXCUBE Investor Servicing User Manual helps you use the system to achieve optimum automation of all your mutual fund investor servicing processes It contains guidelines for specific t
18. e Added Tax WAUC Weighted Average Unit Cost 1 8 Getting Help Online help is available for all tasks You can get help for any function by clicking the help icon provided or by pressing F1 1 9 ORACLE 2 1 2 2 2 Suspense and Statutory Accounts and Trading Introduction Oracle FLEXCUBE Investor Servicing FC IS provides the AMC with the facility to automate the trading on units and the management of trading accounts such as the statutory accounts and suspense accounts Typically the AMC trades on units to generate profit and dividend earnings on units in its possession Few Basic Terms You need to understand a few terms in connection with trading on units clearly before you use the FC IS system to automate the same Trading Box The trading box refers to the number of units that are available at any given point of time for the AMC to do trading The units in the trading box could be the result of any or both of two transactional sources e Units arising due to the trading done by the AMC itself e Units arising due to inflow and outflow resulting from investors transactions in the fund A trading box therefore has no physical existence as an actual entity but is a term used to identify the pool of trading units held by the AMC and available for trading at any given point of time Any transaction that results in an increment in the number of units in the trading box may be considered as an
19. e ISIN Code field Transaction Currency Alphanumeric Mandatory Select the currency in which the transactions will be initiated from the drop down list provided When you select a fund in the Fund Name field the fund transaction currencies that are allowable for transactions into the selected fund are displayed in the drop down list in this field from the Fund Transaction Currency fund rule record that has been maintained for the selected fund Units 20 Characters Maximum Numeric with a maximum of 8 decimal places Mandatory if the selected Transaction Mode is Units Indicate the number of units requested in the transaction Percent 5 Characters Maximum Numeric Mandatory if the selected Transaction Mode is Percentage Indicate the percentage of the holdings of the investor that is to be deemed as the volume of this transaction Amount 22 Characters Maximum Numeric and a maximum of 8 decimal places Mandatory if the selected Transaction Mode is Amount Indicate the amount involved in the transaction Pre funding Select Yes or No to specify whether pre funding is required or not for UH Mapping Use Underlying Transaction Select Yes or No to specify whether underlying transaction can be used for UH Mapping or not Price Date Date Mandatory Indicate the date on which the desired price that is to be reckoned for allocation of the transaction was prevalent You can specif
20. earnings or dividend earnings may be availed of by the AMC Trading Transactions During the course of trading on holdings the AMC may do any or all of the following transactions e Creation e Liquidation e Management Transfer transactions Management Transfer Out to Statutory Account MTOST Management Transfer Out to Suspense Account MTOSU Management Transfer In from Statutory Account MTIST Management Transfer In from Suspense Account MTISU e Net Settlement In NSI transactions Net Settlement Out NSO transactions Note Global Order transactions can also be entered by an AMC The system also services these transactions However the global order feature is only available if you installation has spe cifically requested for it An exhaustive note on global order transactions may be found in the Annexure This chapter only discusses the transaction types mentioned above Creation Creation of units by the AMC is a result of a management decision to buy a certain amount of units from the trustees The units that are bought are either sold to the unit holders at a more favorable price to generate profit or kept in the suspense account or both Creation of units by the AMC is a typical activity when it is desirous of generating earnings on favorable movement of fund prices A creation transaction will have the effect of incrementing the number of units in the trading box and is considered an
21. end of each working day and the impact of these transactions is reflected immediately in the accounting and the balance in the trading box for the next working day Unit Holder Trading Account Mapping Screen You can use this screen to designate a unit holder account that has been set up in the system as the statutory account or the suspense account for the AMC for the purposes of trading When you associate an existing unit holder account in this screen as the statutory account or the suspense account the system maps the unit holder ID and the account type and will debit or credit the unit holdings in this account with the impact of all subsequent trading transactions Invoke the UH Mapping Maintenance Detail screen by typing UTDUHTRD in the field at the top right corner of the Application tool bar and clicking on the adjoining arrow button UH Mapping Maintenance Detail i New 4 Enter Query Unitholder Trading Account Mapping AMC Account Type Trading Agent Agent Unit Holder ID Installation Type Unit Holder Name Global Order Generation Type Transaction Mode Select Trading Box Position Global Order Generation Reversal At Source Long Type User Initiated Generation Pre funding Short Use Underlying Txn Price Zero nerate Consolidated rear GOBasedOn Select Allocate Txn without GO GO Basis Lag Confirmation GO Basis Lag Calendar Adjust Box Position Generate Global Order Pos
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23. in transaction Management Transfer in from Suspense Account MTISU This activity is a result of a management decision to transfer part of the AMC s holdings from the suspense account to the trading box The MTISU transaction has the effect of incrementing the number of units in the trading box and is considered an in transaction oe ORACLE 2 2 1 2 Trading Graphical Work flow View 2 3 The following diagram graphically depicts the movement of trading units and the different components of the trading system TRUSTEE SUSPENSE STATUTORY ACCOUNT ACCOUNT Creation MTISU MTIST Liquidation MTOSU MTOST TRADING BOX IN TRANSACTIONS OUT TRANSACTIONS Redenp tion Switch out Sub scrip tion Switch in Amended Subscription Reinvestment Amended Redemption Amended Swiich in Amended Switch out Initial P ub lic Amended IPO Offerings IP 0 Operating Trading Functions FC IS System You can automate the trading process of the AMC by using the following screens in the FC IS system e The UH Mapping Detail and Summary screens in the Trading menu in the Browser e The Trading Transaction Maintenance Detail and Summary screens in the Trading Txn Maintenance menu in the Browser For the purpose of enquiry the following reports are also available e The Fund Gross Settlement report e The Trading Enquiry report e Trading Profit Loss report You can a
24. ing arrow button TRADING SUMMARY_VW Authorized Open Transaction Number B AMC ID Fund ID a Transaction Type Transaction Date Advanced Search Reset Records per page 15 v 1 of 1 Authorized Open Transaction Number AMCID FundID Transaction Type Transaction Date 1 Retrieving Transaction You can retrieve a previously entered transaction in the Trading Transaction Maintenance Summary screen as follows 218 ORACLE 2 7 2 In the browser select Trading screen and click on Trading Transaction Maintenance Summary specify any or all of the following details in the corresponding fields status of the transaction in the Authorized field If you choose the Blank Space option then all the transactions are retrieved status of the Transaction in the Open field If you choose the Blank Space option then all the transactions are retrieved number of the transaction in the Transaction Number field ID of AMC the AMC ID field ID of the fund in the Fund Id field type of transaction the Transaction Type field The date of transaction in the Transaction Date field After you have specified the required details click Search button All transactions with the specified details are retrieved and displayed in the lower portion of the screen Note You can also retrieve the individual tra
25. ion Maintenance New 22 Enter Query Trading Maintenence Transaction Mode SelectOne Transaction Type Fund ID AMC ID Amount Percent Units Transaction Currency Use Underlying Transaction Pre funding Yes Transaction Number Price Date Trading Agent Code Fund ISIN Transaction Date Payment Details Branch Code Bank Account Type Account Currency AccountHolderName 0 Account Number Payment Type Self Payment Mode Transfer Reference Number Clearing Date IBAN Input by DateTime Authorized by DateTime Mod No Open Authorized 2 6 1 Checks and Controls Before initiating trading transactions in this screen it is recommended that you must already have e Identified and marked the funds for which the trading functions must be allowed When you set up the General Operating Rules for each fund in the General Operating Rules screen you must check the Maintain Trading Box field This indicates to the system that trading functions are allowable for the fund Subsequently all the fund rules pertaining to the fund must be authorized e You can only initiate trading transactions in this screen for all such funds for which the trading functions are allowable Setup the unit holders that are to be linked to the statutory and the suspense account for the AMC in the system authorized them and accepted the information in the Registrar component ORACLE 2 6 2 e Linked the unit holders th
26. letters For example lt CTRL gt Shortcut All short cut keys are contained in brackets For example lt ALT SHIFT gt keys 1 6 Glossary of Icons This User Manual may refer to all or some of the following icons Icons Function Exit Add Row Delete Row z Option List Refer the Procedures User Manual for further details about the icons 1 7 Abbreviations and Acronyms The following acronyms and abbreviations are adhered to in this User Manual Abbreviation Meaning Acronym ADMIN User Administrator AGY The Agency Branch component of the system AMC Asset Management Company BOD Beginning of Day CDSC Contingent Deferred Sales Charge 15 ORACLE Abbreviation Meaning Acronym CGT Capital Gains Tax CIF Customer Information File EOD End of Day EPU Earnings per unit FC IS Oracle FLEXCUBE Investor Servicing FMG The Fund Manager component of the system FPADMIN Oracle FLEXCUBE Administrator ID Identification IHPP Inflation Hedged Pension Plan IPO Initial Public Offering LEP Life and Endowment Products Letter of Intent NAV Net Asset Value REG The Registrar component of the system ROA Rights of Accumulation ROI Return on Investment SI Standing Instructions SMS Security Management System URL Uniform Resource Locator VAT Valu
27. nsaction detail from the detail screen by doing query in the following manner Press F7 Input the Fund Id Press 8 You can perform Edit Delete Amend Authorize Reverse Confirm operations by selecting from the Action list You can also search the record by using combination of and alphanumeric value For example You can search the record for Fund Id by using the combination of and alphanumeric value as follows Search by A The system will fetch all the records whose Fund Id starts from Alphabet A Ex AGC17 AGVO6 AGC74 and so forth Search by 7 The system will fetch all the records whose Fund Id ends by numeric value 7 Ex AGC17 GSD267 AGC77 and so forth Search 17 The system will fetch all the records whose Fund Id contains the numeric value 17 Ex GSD217 GSD172 AGC17 and so forth Editing Transaction You can modify the details of a transaction that you have already entered into the system provided it has not been subsequently authorized You can perform this operation as follows Invoke the Trading Transaction Maintenance Summary screen from the Browser Select the status of the transaction that you want to retrieve for modification in the Authorization Status field You can only modify records of transactions that are unauthorized Accordingly choose the unauthorized option from the drop down list Specify any or all of the details of the transaction in the co
28. ons the net amount settled which is the difference between the amounts due to IPO transactions and amended IPO transactions is displayed Subscription transactions Redemption transactions Switch in transactions Switch out transactions Trading Profit and Loss Report This report gives you a summary of the movement of units due to all the trading that has occurred for a fund between any two stipulated dates The details mentioned below are displayed for each business day in the stipulated period with a summation for each detail for the entire period The profit or loss amount that has resulted from the trading that occurred within the stipulated period is also displayed The ID of the fund for which the report is being generated and the base currency of this fund The number of trading units brought forward from the previous day in the trading box along with their value at the beginning of each business day in the stipulated period in the BOD Trading Units and BOD Trading Value fields The number of units that have been acquired during the course of each day and their value The number of stock units and their value for each day The stock value here is the sum of the BOD trading units and the acquired units The latest average cost of the units on each day The number of units that have been disposed as a result of out or disposal transactions during the course of each business day and their value
29. ou want to retrieve for authorization Typically choose the unauthorized option from the drop down list Specify any or all of the details of the transaction in the corresponding fields on the screen Click Search button All transactions with the specified details that are pending authorization are retrieved and displayed in the lower portion of the screen 2 16 ORACLE 2 7 6 2 7 7 2 7 7 1 e Double click the transaction that you wish to authorize The Trading Transaction Maintenance screen is opened in view mode e Select Authorize operation from Action list When the checker authorizes a transaction details of validations if any that were overridden by the maker of the transaction during the Save operation are displayed If any of these overrides results in an error the checker must reject the transaction Amending Transaction After a record is authorized it can be modified using the Unlock operation from Action list To make changes to a record after authorization you must invoke the Unlock operation which is termed as Amend Operation Invoke the Trading Transaction Maintenance Summary screen from the Browser e Select the status of the record that you wish to retrieve for amendment You can only amend records of transactions that are authorized e Specify any or all of the details of the record in the corresponding fields on the screen All record with the specified details are retrieved and displayed in
30. re granted to the U S Government This software or hardware is developed for general use in a variety of information management applications It is not developed or intended for use in any inherently dangerous applications including applications that may create a risk of personal injury If you use this software or hardware in dangerous applications then you shall be responsible to take all appropriate failsafe backup redundancy and other measures to ensure its safe use Oracle Corporation and its affiliates disclaim any liability for any damages caused by use of this software or hardware in dangerous applications This software and related documentation are provided under a license agreement containing restrictions on use and disclosure and are protected by intellectual property laws Except as expressly permitted in your license agreement or allowed by law you may not use copy reproduce translate broadcast modify license transmit distribute exhibit perform publish or display any part in any form or by any means Reverse engineering disassembly or decompilation of this software unless required by law for interoperability is prohibited The information contained herein is subject to change without notice and is not warranted to be error free If you find any errors please report them to us in writing This software or hardware and documentation may provide access to or information on content products and services from third parti
31. rresponding fields on the screen to retrieve the transaction that is to be modified All unauthorized transactions with the specified details are retrieved and displayed in the lower portion of the screen 2519 ORACLE 2 7 3 2 7 4 2 7 5 Double click the transaction that you want to modify in the list of displayed transactions The Transaction Detail screen is displayed Select Unlock Operation from Action list to modify the record Modify the necessary information Click Save to save your changes The Trading Transaction Maintenance Detail screen is closed and the changes made are reflected in the Trading Transaction Maintenance Summary screen Viewing Transaction To view a transaction that you have previously entered you must retrieve the same in the Trading Transaction Maintenance Summary screen as follows Invoke the Trading Transaction Maintenance Screen from the Browser Select the status of the transaction that you want to retrieve for viewing in the Authorization Status field You can also view all transactions that are either unauthorized or authorized only by choosing the Unauthorized Authorized option Specify any or all of the details of the transaction in the corresponding fields on the screen and click Search button All transactions with the specified details are retrieved and displayed in the lower portion of the screen Double click the transaction that you want to view in the list of displayed tr
32. stem To delete a transaction that you have previously entered you must retrieve the same in the UH Mapping Summary screen as follows Invoke the UH Mapping Summary screen from the browser Select the status of the transaction that you want to retrieve for deletion Specify any or all of the details of the transaction in the corresponding fields on the screen and click Search button All transactions with the specified details are retrieved and displayed in the lower portion of the screen 259 ORACLE 2 5 5 2 5 6 2 5 7 2 5 8 e Double click the transaction that you want to delete in the list of displayed transactions in the lower portion of the screen The UH Mapping Detail screen is opened in view mode e Select Delete operation from the Action list The system prompts you to confirm the deletion and the record is deleted physically from the system database Authorizing Transactions An unauthorized transaction must be authorized in the system for it to be processed To authorize a transaction you must first retrieve the same in the UH Mapping Summary screen e Invoke the UH Mapping Summary screen from the Browser Select the status of the transaction that you want to retrieve for authorization Typically choose the unauthorized option from the drop down list e Specify any or all of the details of the transaction in the corresponding fields on the screen Click Search button All transactions
33. t Allocation Transaction Level P L UH Account Type Mapping Details 1of1 UH Account Type Account Description Input by DateTime Mod No Authorized by Open DateTime Authorized Operations in this Screen When you have designated a unit holder account as the statutory or suspense account in this screen you can subsequently e Edit the mapping by changing the unit holder ID the AMC ID or the account name e Delete the mapping if necessary You must remember that if trading has occurred after you have designated the statutory or suspense account in this screen and the trading has impacted either account and there are holdings in either account you cannot edit or delete the mapping in this screen 28 ORACLE 2 4 2 2 4 3 2 4 4 2 4 4 1 Checks and Controls e Before you designate a unit holder account as the statutory or suspense account it is recommended that you must already have set up the desired investor as a unit holder and subsequently authorized the unit holder account and accepted the same in the Registrar component e For an AMC you can only designate one unit holder account as the statutory or suspense account Designating Unit Holder Account as Statutory or Suspense Account To designate a unit holder account as statutory or the suspense account in this screen specify the following details e AMCID e Account Name e Unit Holder ID e Click the Save button
34. tion e Global Order Generation Type e Cut Off Time HH24 e Installation Type e Use Underlying Txn Price e Generate Consolidated Global Order e Transaction Mode e Allocate Txn without GO Confirmation e Reversal AT Source e Adjust Box Position e Pre Funding e Generate Global Order Post Allocation e Transaction Level P L e GO Based On e GO Basis Lag Calendar e GO Basis Lag UH Account Type Mapping Details UH Account Type Specify the UH account type The adjoining option list displays all the valid UH account types maintained in the system You can select the appropriate one Account Description Upon selection of the UH account types the system displays the account description of the specified account Unit Holder Trading Account Mapping Summary After you have maintained a unit holder trading account mapping you must have another user authorize it so that it would be effective in the system Before the mapping is authorized you can edit it as many times as necessary You can also delete a transaction before it is authorized After authorization you can only make changes to a mapping through an amendment The Unit Holder Mapping Maintenance Summary screen can be used for the following operations on mappings e Retrieval for viewing e Editing unauthorized mappings e Deleting unauthorized mappings e Authorizing mappings e Amending authorized mappings 2 1 ORACLE You can in
35. to save your specifications or click the Cancel button to cancel your specifications and start again Select New from the Actions menu in the Application tool bar or click new icon to enter the details of the UH Mapping Maintenance screen Fields in UH Mapping Maintenance Screen Unit holder Trading Account Mapping Trading Agent Select the trading agent from the option list Agent AMC Alphanumeric Mandatory Select the AMC for which you are designating the statutory or suspense unit holder account in this screen from the drop down list Account Type Alphanumeric Mandatory Select the account that you are designating for the AMC in this screen from the drop down list It could be either a statutory account or suspense account Unit Holder ID Mandatory Specify the ID of the unit holder account that you want to designate as the statutory or the suspense account as applicable If you do not know the unit holder number click the Find link The Find Unit Holder screen is opened and you can retrieve the required unit holder number by specifying suitable search criteria Unit Holder Name Display Only When you specify the ID of the unit holder account that you want to designate as the statutory or suspense account the name of the corresponding unit holder is displayed here 26 ORACLE 2 5 You have to specify the following information along with the fields mentioned above for UH Mapping e Trading Box Posi
36. ut the Unit Holder ID Press 8 You can perform Edit Delete Amend Authorize Reverse Confirm operations by selecting from the Action list You can also search the record using a combination of and alphanumeric value For example 228 ORACLE 2 5 2 2 5 3 2 5 4 You can search the record for Unit Holder ID by using the combination of and alphanumeric value as follows Search by A The system will fetch all the records whose Unit Holder ID starts from Alphabet A Ex AGC17 AGVO6 AGC74 and so forth Search by 7 The system will fetch all the records whose Unit Holder ID ends by numeric value 7 AGC17 GSD267 AGC77 and so forth Search by 17 The system will fetch all the records whose Unit Holder ID contains the numeric value 17 Ex GSD217 GSD172 AGC17 and so forth Editing Transaction You can modify the details of a transaction that you have already entered into the system provided it has not been subsequently authorized You can perform this operation as follows Invoke the UH Mapping screen from the Browser Select the status of the transaction that you want to retrieve for modification in the Authorization Status field You can only modify records of transactions that are unauthorized Accordingly choose the unauthorized option from the drop down list Specify any or all of the details of the transaction in the corresponding fields on the screen to retrieve the transaction
37. voke the Unit Holder Mapping Maintenance Summary screen by typing UTSUHTRD the field at the top right corner of the Application tool bar and clicking on the adjoining arrow button UH Mapping Maintenance Summary Authorized AMC Unit Holder ID Records per page 15 a Advanced Search 101 Account Type cm Authorized Open AMC Account Type Unit Holder ID 2 5 1 Retrieving Record in Payment Clearing Summary Screens You can retrieve a previously entered record in the UH Mapping Summary screen as follows e Inthe browser select Trading menu and click on UH Mapping Summary specify any or all of the following details in the corresponding fields status of the record in the Authorized field If you choose the Blank Space option then all the records are retrieved status of the record in the Open field If you choose the Blank Space option then all the record are retrieved AMC the AMC field type of account in the Account Type field ID of unit holder in the Unit Holder ID field e After you have specified the required details click Search button All transactions with the specified details are retrieved and displayed in the lower portion of the screen Note You can also retrieve the individual record detail from the detail screen by doing query in the following manner Press F7 Inp
38. y a past date but not a future date If you specify a past date it must be a date on which the desired authorized fund price was prevalent 218 ORACLE 2 7 2 7 1 IBAN 36 Characters Only Alphanumeric Optional Specify the IBAN International Bank Account Number of the account holder By default the price date is reckoned to be the application date In such a case the prevalent price as on the application date need not be available at the time of initiating the trading transaction in this screen but it must be available when the authorization of the trading transaction is done Trading Maintenance Summary Screen After you have initiated a trading transaction you must have another user authorize it so that it would be effective in the system Before the transaction is authorized you can edit it as many times as necessary You can also delete a transaction before it is authorized After authorization you can only make changes to a transaction through an amendment The Trading Transaction Maintenance Summary screen can be used for the following operations on transactions e Retrieval for viewing e Editing unauthorized transactions e Deleting unauthorized transactions e Authorizing transactions e Amending authorized transactions Invoke the Trading Transaction Maintenance Summary screen by typing UTSTRDT in the field at the top right corner of the Application tool bar and clicking on the adjoin
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