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Treasury Concurrent Programs

Oracle Treasury Concurrent Programs

CONCURRENT PROGRAM SHORT CODE CONCURRENT PROGRAM NAME
XTRMTDAT Positions – Maturities by Date Report
XTRMTCPY Positions – Maturities by Counterparty Report
XTRCFCCY Positions – Treasury Cashflows by Currency Report
XTRCFCON Positions – Treasury Consolidated Cashflows Report
XTRCFACC Positions – Treasury Cashflows by Account Report
XTRLIUTL Positions – Limit Utilizations Report
XTRLIEXP Admin – Limit Exceptions Log
XTRTMBLS Term Money – Summary Term Current Balances Report
XTRAUNCL Admin – Cancelled Transactions Summary Report
XTRIRHED Positions – Interest Rate Hedges Report
XTRIREXP Positions – Interest Rate Exposures Report
XTRFXTAX Admin – FX Contracts Tax Gain / Loss Report
XTRFXREV Admin – FX Contracts Revaluation Report
XTRFXAVG Admin – Average FX Rates Report
XTRFXDEL Positions – FX Deal Rate versus Spot Report
XTRRTAMT Admin – Monthly Average Rates / Amounts Report
XTRJLDAT Settlements – Journals by Date Report
XTRSTDAY Settlements – Daily Payments / Receipts Report
XTRLTDAP Settlements – Daily Payments / Receipts Letters
XTRDISRE Positions – Discounted Securities Register
XTRSESTA Settlements – Status Report
XTRTMNEW Term Money – New/Settled Retail Term Money Report
XTRTMODR Term Money – Retail Term Money Aging Report
XTRTMBLT Term Money – By Type and Product Report
XTRTMSTM Term Money – Retail Term Money Statements
XTRMILNS Admin – Loan Securities Report
XTRTMAOD Term Money – Retail Term Money Overdues Report
XTRFXEXP Positions – FX Exposures Report
XTRLTIGI Intercompany – Letters
XTRTMAVG Term Money – Term Average Rates Report
XTRIGSUM Intercompany – Statements
XTRIGINS Intercompany – Interest Settlement Report
XTRRECON Program – Bank Account Reconciliation
XTRTRANS Program – Bank Statement Transfer
XTRFCAST Cash Forecasting
XTRURATE Program – Update Today’s Average Rate
XTRLTCFM Settlements – Confirmation Letters
XTRJRNAL Program – Revaluation/Accrual Related Journal Processing
XTRJNLTR Journals – Transfer to GL
XTRFCERR Cash Forecasting Execution Report
XTREXRTM Term Money – Calculate Retail Term Money Maturity Date Extensions
XTRUPLMT Program – Update Limit Utilizations
XTRUPWGH Program – Update Limit Weightings
XTRRAPRD Program – Update Retail Term Money Transaction Interest Rates
XTRCLJNL Program – Clear Journals
XTRUPACC Program – Upload Bank Account Balances
XTRCALAC Program – Generate Accruals
XTRCALRV Program – Calculate Revaluations
XTRAUDTR Program – Update Audit Summary
XTRAUSRM Admin – Audit Summary Report
XTRSETTL Settlement-Generate Report/Script
XTREFCOM EFC – Listing of Companies by Ledger
XTREFCAN EFC – Amount Comparison Report
XTRMDTRP Data Exchange – Market Data Transfer Report
XTRMDLDF Data Exchange – Market Data Load Sample File
XTRMDTSF Data Exchange – Market Data Transfer
XTRIMPRT Program – Import Deal Data
XTRRTSET Program – Reset Floating (Benchmarked) Rates
XTRREVGL Positions – Mark to Market Revaluation Summary Report
XTRCCYGL Positions – Currency Gain/Loss Revaluation Report
XTRJNLCA Program – Non-Revaluation/Non-Accrual Related Journal Processing
XTRHOAPR Positions – Outstanding Receivables / Payables Report
XTRAPRCV Program – Retrieve Payment File Confirmations
XTRGLRIA Data Exchange – Upload FX Rates to GL Using Absolute Dates
XTRGLRIR Data Exchange – Upload FX Rates to GL Using Relative Dates
XTRHDGPC Program – Calculate Hedge Percentage Allocations
XTRHIFUL Positions – Forecast Hedge Items Fulfillment Report
XTROHINS Positions – Outstanding Hedge Instruments Report
XTRSTRMC Program – Accounting Streamline Processing by Company
XTRSTRMM Program – Accounting Streamline Processing
XTRDDHAT Positions – Derivatives Disclosure by Hedge Attribute Report
XTRDDHTY Positions – Derivatives Disclosure by Hedge Type Report
XTRUPBAC Program – Update Settlement Bank Account
XTRUPREP Program – Update Settlement Bank Account Execution Report
XTRPAYSTDEF Payment Transmission Status Report
XTRPAYTRANSDEF Program – Electronic Payment Transmission
XTRRFBRS Program – Reset Floating (Benchmarked) Bond Issue Rates
XTRRETET Program – Perform Retrospective Effectiveness Testing
XTRCFCCY_XML Positions – Treasury Cashflows by Currency Report (XML)
XTRIREXP_XML Positions – Interest Rate Exposures Report (XML)