Positions – Treasury Cashflows by Currency Report
NAME: Positions – Treasury Cashflows by Currency Report
SHORT CODE: XTRCFCCY
MODULE: Oracle Treasury
Description: Positions – Treasury Cashflows by Currency Report
Navigation: Oracle Treasury Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.
Report Parameters:
- Company : Company
- Currency : Currency
- Exposure Type : Exposure Type
- Include Intra-Day Transactions : Include Intra-Day Transactions
- Include FX Option Buy/Sell : Include FX Option Buy/Sell
- Summarize By : Summarize By
- Settlement Date From : Settlement Date From
- Settlement Date To : Settlement Date To
- Factor : Factor
- SQL Trace : SQL Trace
- Display Debug : Display Debug
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