You are browsing the archive for Oracle Treasury.

Program – Reset Floating (Benchmarked) Rates

 

NAME: Program – Reset Floating (Benchmarked) Rates
SHORT CODE: XTRRTSET
MODULE: Oracle Treasury

Description: Program – Reset Floating (Benchmarked) Rates
Navigation: Oracle Treasury Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • Reset Date From : Reset Date From must be on or before system date
  • Reset Date To : Reset Date To must be on or before system date
  • Reset Date Adjustment : Reset Date Adjustment
  • Deal Type : Oracle Treasury Deal Type
  • Company : Company
  • Counterparty : Counterparty
  • Portfolio : Portfolio
  • Currency : Currency
  • Benchmark Rate : Reset Floating Benchmark Rate
  • Source : Source

 

Admin – Monthly Average Rates / Amounts Report

 

NAME: Admin – Monthly Average Rates / Amounts Report
SHORT CODE: XTRRTAMT
MODULE: Oracle Treasury

Description: Admin – Monthly Average Rates / Amounts 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
  • Deal Type : Deal Type
  • Deal Subtype : Deal Subtype
  • Product Type : Product Type
  • Portfolio : Portfolio
  • Currency : Currency
  • Period From : Period From
  • Period To : Period To
  • Group by Deal Type : Group by Deal Type
  • Group by Deal Subtype : Group by Deal Subtype
  • Group by Product : Group by Product
  • Group by Portfolio : Group by Portfolio
  • Show Rate/Amount : Show Rate/Amount
  • Factor : Factor
  • SQL Trace : SQL Trace
  • Display Debug : Display Debug

 

Program – Reset Floating (Benchmarked) Bond Issue Rates

 

NAME: Program – Reset Floating (Benchmarked) Bond Issue Rates
SHORT CODE: XTRRFBRS
MODULE: Oracle Treasury

Description: Program – Reset Floating (Benchmarked) Bond Issue Rates
Navigation: Oracle Treasury Responsibility -> View -> Requests -> Submit a new request -> Select Single Request -> Click ‘OK’ -> Select Name of concurrent program / report.

Report Parameters:

  • Reset Date From : Reset Date From must be on or before system date
  • Reset Date To : Reset Date To must be on or before system date
  • Reset Date Adjustment : Reset Date Adjustment
  • Bond Issue Code : Bond Issue Code
  • Currency : Currency
  • Benchmark Rate : Reset Floating Benchmark Rate
  • Recalculate Overwritten Coupon : Recalculate Overwritten Coupon