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Treasury Steps

Application Configuration

Configuration Run Information


Date Of Run
Time Of Run

09-MAR-2010
15:32:18

Run Type

Blank Template

Data Source

Not Applicable

ConfigSnapshot Version

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32


Generated By ConfigSnapshot

3.0.0.0

Page 1

Contents
1

Configuration Steps .................................................................................................................................. 4


1.1
1.2
1.3
1.4
1.5
1.6
1.7
1.8
1.9
1.10
1.11
1.12
1.13
1.14
1.15
1.16
1.17
1.18
1.19
1.20
1.21
1.22
1.23
1.24
1.25
1.26
1.27
1.28
1.29
1.30
1.31
1.32
1.33
1.34
1.35
1.36
1.37
1.38
1.39
1.40
1.41
1.42
1.43
1.44
1.45
1.46
1.47
1.48
1.49
1.50
1.51
1.52
1.53
1.54
1.55
1.56
1.57
1.58
1.59
1.60
1.61
1.62
1.63
1.64
1.65
1.66
1.67
1.68
1.69
1.70
1.71
1.72

Audit Events - Treasury (General) ............................................................................................................................................4


Audit Groups - Treasury (General) ............................................................................................................................................4
Authorised Currencies - Treasury (General) .............................................................................................................................4
Bank Signing Authority - Treasury (General) .............................................................................................................................5
Bill / Bond Issue Numbers - Treasury (General) ........................................................................................................................5
Bond Issues - Treasury (General) .............................................................................................................................................6
Brokerage Categories - Treasury (General) ..............................................................................................................................8
Brokerage Rate Groups - Treasury (General) ...........................................................................................................................9
Brokerage Schedules - Treasury (General)............................................................................................................................. 10
Brokerage Settlement Codes - Treasury (General) ............................................................................................................ 11
Company Profiles - Treasury (General) ............................................................................................................................. 12
Confirmation Templates - Treasury (General) .................................................................................................................... 15
Counterparty Limits - Treasury (General) .......................................................................................................................... 16
Counterparty Profiles - Treasury (General) ........................................................................................................................ 16
Currency Combinations - Treasury (General) .................................................................................................................... 20
Currency Details - Treasury (General) ............................................................................................................................... 20
Currency Holiday Dates - Treasury (General) .................................................................................................................... 20
Currency Holiday Rules - Treasury (General) .................................................................................................................... 21
Currency Limits - Treasury (General)................................................................................................................................. 22
Current System Rates - Treasury (General) ...................................................................................................................... 23
Deal Confirmation Groups - Treasury (General) ................................................................................................................ 24
Deal Limit Control - Treasury (General) ............................................................................................................................. 24
Deal Limit Control Limit Type - Treasury (General) ............................................................................................................ 25
Deal Rate Tolerances - Treasury (General) ....................................................................................................................... 26
Deal Time Restrictions - Treasury (General) ...................................................................................................................... 26
Deal Types - Treasury (General) ....................................................................................................................................... 27
Deal Weighting - Treasury (General) ................................................................................................................................. 28
Dealer Limits - Treasury (General) .................................................................................................................................... 29
Default Settlement Accounts - Treasury (General)............................................................................................................. 30
Default Settlement Actions - Treasury (General)................................................................................................................ 30
Event Assignments - Treasury (General) ........................................................................................................................... 30
Exposure Types - Treasury (General)................................................................................................................................ 32
FX Policy Bands - Treasury (General) ............................................................................................................................... 33
GL Accounts - Treasury (General) ..................................................................................................................................... 34
Global Limits - Treasury (General)..................................................................................................................................... 35
Group Limits - Treasury (General) ..................................................................................................................................... 35
Hedge Instruments - Treasury (General) ........................................................................................................................... 36
Hedge Item Accounts - Treasury (General) ....................................................................................................................... 37
Hedge Items - Treasury (General) ..................................................................................................................................... 38
Hedge Strategies - Treasury (General) .............................................................................................................................. 38
Historic Cross Rates - Treasury (General) ......................................................................................................................... 38
Historic Spot Rates - Treasury (General) ........................................................................................................................... 40
Historic System Rates - Treasury (General) ...................................................................................................................... 40
Import Sources - Treasury (General) ................................................................................................................................. 41
Intercompany Accounts - Treasury (General) .................................................................................................................... 42
Interest Override Tolerances - Treasury (General) ............................................................................................................ 42
Interest Rate Policies - Treasury (General) ........................................................................................................................ 42
Journal Structures - Treasury (General) ............................................................................................................................ 44
Lookups - Treasury (General)............................................................................................................................................ 45
Market Data Curves - Treasury (General) .......................................................................................................................... 46
Market Data Sets - Treasury (General) .............................................................................................................................. 46
Notional Cash Pools - Treasury (General) ......................................................................................................................... 47
Party Group Codes - Treasury (General) ........................................................................................................................... 47
Payment Schedules - Treasury (General) .......................................................................................................................... 47
Physical Cash Pools - Treasury (General) ......................................................................................................................... 49
Portfolio Codes - Treasury (General) ................................................................................................................................. 51
Profile Options - Treasury (General) .................................................................................................................................. 51
Reconciliation Methods - Treasury (General)..................................................................................................................... 51
Reconciliation Passes - Treasury (General)....................................................................................................................... 51
Settlement Limits - Treasury (General) .............................................................................................................................. 51
Sovereign Limits - Treasury (General) ............................................................................................................................... 52
Stock Issues - Treasury (General) ..................................................................................................................................... 52
System Languages - Treasury (General) ........................................................................................................................... 52
System Parameters - Treasury (General) .......................................................................................................................... 53
System Rate - Archive Parameters - Treasury (General) ................................................................................................... 53
System Rate - Data Feed Codes - Treasury (General) ...................................................................................................... 53
Tax - One Step Settlement Codes - Treasury (General) .................................................................................................... 53
Tax Categories - Treasury (General) ................................................................................................................................. 54
Tax Rate Groups - Treasury (General) .............................................................................................................................. 55
Tax Schedules - Treasury (General) .................................................................................................................................. 56
Tax Settlement Codes - Treasury (General) ...................................................................................................................... 57
User Access Levels - Treasury (General) .......................................................................................................................... 58

Filter Summary ........................................................................................................................................ 58

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32


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3
4
5

User Filter Summary ............................................................................................................................... 59


Warnings Found ...................................................................................................................................... 59
Errors Found ........................................................................................................................................... 59

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32


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1 Configuration Steps
1.1

Audit Events - Treasury (General)

Menu Path: Setup > System > Audit Requirements

Field Name

Value

Event Name
Audit

Column In Table

1.2

Display

Column Type

Audit Groups - Treasury (General)

Menu Path: Setup > System > Audit Requirements

Field Name

Value

Audit Group

Event Name

1.3

Currently Audited

Authorised Currencies - Treasury (General)

Menu Path: Setup > Policies > Currency Details

Code

Description

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32


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1.4

Bank Signing Authority - Treasury (General)

Menu Path: Setup > Policies > Bank Account Signing Authority

Value

Field Name
Bank Account Number
Bank Account Name
Bank Name
Bank Branch
Currency

Name

1.5

Single Limit

Joint Limit

Signer Group

Other Limitations

Start Date

End Date

Status

Flexfield

Bill / Bond Issue Numbers - Treasury (General)

Menu Path: Setup > Deals > Bill/Bond Issue Numbers

Bank Code

Type

Serial Num

Status

Issue Date

Deal Num

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Trans Num

Due Date

Currency

Amount

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1.6

Bond Issues - Treasury (General)

Menu Path: Setup > Deals > Bond Issues

Bond Issue

Field Name

Value

Issue Code
Issuer Code
Authorized
Security Num
Flexfield
MAIN DETAILS
Currency
Product Type
Start Date
Maturity Date
Day Count Basis
Accrual Basis
Calculation Precision
Price Display
Accuracy
Rounding Type
Yield Display
Accuracy
Rounding Type
COUPON DETAILS
Coupon Type
Coupon Frequency
Force Month End
Business Day Convention
Maturity Dates
Payment Due Dates
First Coupon Date
Last Coupon Date
Rate
Effective Annual Rate
Benchmark Rate
Margin
Rate Fixing Day
Interest Rounding
Interest Includes
ADDITIONAL DETAILS
Rate Reference
Pricing Margin
Priciing Model
Market Data Set
Callable Bond

Coupons
Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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Rate Fixing Date

Rate

Maturity Date

Maturity Day

Due Date

Call Date

End Date

Price

Comments

Call Details

Notification Date

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.7

Brokerage Categories - Treasury (General)

Menu Path: Setup > Tax / Brokerage > Brokerage Schedule & Details

Value

Field Name
Category
Description

Deal Type

Subtype

Product Type

Party

Schedule Code

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Rate Group

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1.8

Brokerage Rate Groups - Treasury (General)

Menu Path: Setup > Tax / Brokerage > Brokerage Schedule & Details

Rate Group

Effective From

Minimum Amount

Maximum Amount

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Brokerage Rate

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1.9

Brokerage Schedules - Treasury (General)

Menu Path: Setup > Tax / Brokerage > Brokerage Schedule & Details

Schedule

Rate Group

Payee

Deal Type

Type

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Description

Authorized

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1.10 Brokerage Settlement Codes - Treasury (General)


Menu Path: Setup > Tax / Brokerage > Brokerage Schedule & Details

Company

Settlement Code

Description

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

GL Account

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1.11 Company Profiles - Treasury (General)


Menu Path: Setup > Parties > Company Profiles

Company Profile

Field Name

Value

Company
Short Name
Full Name
Default
Legal Entity
Set of Books
Currency
ADDRESS
Title
Contact Name
Phone Number
Fax Number
Email Address
Address Line 1
Line 2
Line 3
Line 4
Line 5
Line 6

Bank Accounts

Field Name

Value

Account Currency
Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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Account Number
Account Name
Legal Account Name
Bank Code
Bank Name
Street Name
Bank Location
Swift ID
Default Account
Authorized
Company GL Acct
Settlement Script
Domiciled Currency
Day Count Basis
AP Bank Account Ref
Minimum Target Balance
Maximum Target Balance
Flexfield

Effective Date

Account Balance Low

Account Balance High

Interest Rate

Settlement Contacts

Title

Contact Name

Currency

Account

Phone Number

Fax Number

Telex Number

Email Address

Deal Contacts

Deal Type

Deal Subtype

Product Type

Currency

Title

Contact Name

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Phone Number

Fax Number

Telex Number

Email Address

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Debit Authority

Company Account

Counterparty

Parameters

Name

Value

Settlement Scripts

Script Name

Currency

Script Type

Procedure
Name

AP Transmission
Code

AP Bank Name

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

AP Bank Branch
Name

Auth

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1.12 Confirmation Templates - Treasury (General)


Menu Path: Setup > System > Confirmation Template

Field Name

Value

Template Name
Action Type
Template/View Exists
Default Template

Line

Column Description

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.13 Counterparty Limits - Treasury (General)


Menu Path: Setup > Policies > Limits

Company

Cparty

Limit Code

Limit Type

Expiration Date

Authorized

Limit Amount

Flexfield

1.14 Counterparty Profiles - Treasury (General)


Menu Path: Setup > Parties > Counterparty Profiles

Counterparty Profile

Field Name

Value

Party Code
Full Name
Bank Branch
Authorized
Short Name
Country
Acct Mgr
Cross Reference
Party Group
FX
MM
Equity Market
Client
Risk Party
Advisor
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Valuer
Deposit Reference
Phone Number
Fax Number
Email Address
Confirmation Group
Swift ID
Contact Name
FX Match ID
Comments

Bank Accounts

Field Name

Value

Account Number
Currency
Domiciled Currency
Default Account
Authorized
Account Name
Legal Account Name
Bank Code
Bank Name
Address
Location
Direct Debit Authorized
Sub Acct Details
Sub Acct Number
Flexfield

Effective Date

Account Balance Low

Account Balance High

Interest Rate

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Settlement Contacts

Value

Field Name
Title
Contact Name
Currency
Account Num
Phone
Fax Number
Email
Telex
Address Name
Address 1
Address 2
Address 3
Address 4
Address 5

Deal Contacts

Deal Type

Currency

Deal Subtype

Product Type

Title

Contact Name

Email Address

Phone Number

Fax Number

Telex Number

Security Details

Sec Num

Security Description

Reference

Company

Issued By

Valuation

Valuer

Valued On

Priority Sum

Security Detail Review Dates

Review Date

Deal Num

Comments

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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Tax Detail

Tax File Num

Tax Exemption
Code

Tax

Brokerage

Settlement

Limit Amount

Expiration Date

Authorized

Address

Value

Field Name
Title
Address Name
Mailing Address 1
Mailing Address 2
Mailing Address 3
Mailing Address 4
Mailing Address 5
Physical Address 1
Physical Address 2
Physical Address 3
Physical Address 4
Lawyer
Accountant
Other

Limits

Company

Limit Code

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.15 Currency Combinations - Treasury (General)


Menu Path: Setup > Policies > Currency Details

Base

Contra

Authorized

Sequence

Forward Point
Factor

1.16 Currency Details - Treasury (General)


Menu Path: Setup > Policies > Currency Details

Value

Field Name
Code
Description
Net FX Exposure Limit
FX Sequence
Cash Flow Display On
Quotation Basis Against USD
Year Basis
Rounding Factor
Day Count Basis
GL Calendar
Holiday Forward Years
No GL Upload

1.17 Currency Holiday Dates - Treasury (General)


Menu Path: Setup > System > Currency Holiday Rules

Currency

Date

Day

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Holiday Description

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1.18 Currency Holiday Rules - Treasury (General)


Menu Path: Setup > System > Currency Holiday Rules

Currency

Holiday
Description

Type

Date

Month

Year

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Num

Day

Extra Days

Workday
Adjustment

Calculated Date

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1.19 Currency Limits - Treasury (General)


Menu Path: Setup > Policies > Limits

Currency

Description

Limit Amount

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.20 Current System Rates - Treasury (General)


Menu Path: Setup > Policies > Currency Details

Ref Code

Ref Description

Period

Term Type

Base Curr

Contra Curr

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Day Count Basis

Bid Price

Ask Price

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1.21 Deal Confirmation Groups - Treasury (General)


Menu Path: Setup > Parties > Deal Confirmation Groups

Field Name

Value

Confirmation Group
Description

Deal Type

Deal Type Description

Action

Required

1.22 Deal Limit Control - Treasury (General)


Menu Path: Setup > Policies > Limits

Param Value

Limit Description

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.23 Deal Limit Control Limit Type - Treasury (General)


Menu Path: Setup > Policies > Limits

Type

Description

FX

Invest

Fund

Odraft

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.24 Deal Rate Tolerances - Treasury (General)


Menu Path: Setup > Policies > Deal Rate Tolerances

Deal Type

Description

Subtype

Description

Tol %

1.25 Deal Time Restrictions - Treasury (General)


Menu Path: Setup > Policies > Limits

Deal Type

Subtype

Product Type

Cparty

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Max Length

Period Type

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1.26 Deal Types - Treasury (General)


Menu Path: Setup > Policies > Deal Types / Product Types

Deal Type

Value

Field Name
Code
Name
Description
Authorized

Deal Subtypes

Code

Name

Description

Tol % Level

Authorized

Date Types

Date Type

Name

Description

Name

Description

Deal Statuses

Code

Amount Types
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Value

Field Name
Type
Name
Description

Code

Name

Description

Description

Authorized

Price Models

Name

Product Types

Type

Description

Discount/Yield Basis

Default Pricing
Model

Default Market Data


Set

Deal Subtype:
Description

Months

Margin

Allow Reval
Override

Product
Authorized

1.27 Deal Weighting - Treasury (General)


Menu Path: Setup > Policies > Limits

Deal Type: Code

Deal Type:
Description

Deal Subtype: Code

Weighting

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1.28 Dealer Limits - Treasury (General)


Menu Path: Setup > Policies > Limits

Dealer

Dealer Name

Deal Type

Product Type

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Authorized

Limit Amount

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1.29 Default Settlement Accounts - Treasury (General)


Menu Path: Setup > Parties > Deal Settlement Accounts

Party

Currency

Account Name

Deal Type

Deal Subtype

Product Type

Amount Type

1.30 Default Settlement Actions - Treasury (General)


Menu Path: Setup > Parties > Deal Settlement Actions

Value

Field Name
Category
Description

Deal Subtype

Product Type

Deal Counterparty

Default Actions:
Principle

Default Actions:
Interest

Client Default
Settlement:
Principal

Client Default
Settlement:
Interest

Interest
Frequency

1.31 Event Assignments - Treasury (General)


Menu Path: Setup > Notification > Event Assignment

Field Name

Value

Name
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Description

Priority

Role Name

Company

Portfolio

Deal Type

Deal Subtype

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Product Type

Cparty

Dealer

Limit Check
Type

Limit Amount

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1.32 Exposure Types - Treasury (General)


Menu Path: Setup > Deals > Exposure Types

Company

Name

Description

Freq

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

GL Account

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1.33 FX Policy Bands - Treasury (General)


Menu Path: Setup > Policies > Currency Details

Currency

Period From

Period From: Type

Period To

Period To: Type

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Description

Min Cover

Max Cover

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1.34 GL Accounts - Treasury (General)


Menu Path: Setup > System > Journal Entry Actions

Company

GL Account

Treasury Reference

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.35 Global Limits - Treasury (General)


Menu Path: Setup > Policies > Limits

Company

Limit Code

Limit Name

Limit Type

Authorized

Limit Amount

Description

Expiration Date

Authorized

Flexfield

1.36 Group Limits - Treasury (General)


Menu Path: Setup > Policies > Limits

Company

Cparty

Limit Type

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Limit Amount

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1.37 Hedge Instruments - Treasury (General)


Menu Path: Setup > Policies > Hedge Policies

Source

Sub Source

Instrument Category

Cashflow

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Fair Value

Economic

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1.38 Hedge Item Accounts - Treasury (General)


Menu Path: Setup > System > Journal Entry Actions

Company

Date Type

Amount Type

Action Code

Debit/Credit

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

GL Account

Comments

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1.39 Hedge Items - Treasury (General)


Menu Path: Setup > Policies > Hedge Policies

Source

Sub Source

Item Category

Cashflow

Fair Value

Economic

1.40 Hedge Strategies - Treasury (General)


Menu Path: Setup > Policies > Hedge Strategies

Field Name

Value

Strategy Code
Authorized
Short Name
Description
Company
Expiration Date
Flexfield
MAIN
Hedge Type
Risk Type
Objective
Hedge % Guideline
Hedge Approach
Policy Reference
Derivative Disclosure
EFFECTIVENESS
Prospective
Test Method
Updateable
Tolerance Level
Test Frequency
Responsible User
Automatically Record Iniitial Test
Retrospective
Test Method
Updateable
Exclusion Item
Tolerance Level
Responsible User

1.41 Historic Cross Rates - Treasury (General)


Menu Path: Setup > Policies > Currency Details
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Bas Curr

Contra Curr

Rate Date

Bid Rate

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Spread

Ask Rate

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1.42 Historic Spot Rates - Treasury (General)


Menu Path: Setup > Policies > Currency Details

Base Currency

Contra Currency

Ref Code

Ref Description

Rate Date

Bid Rate

Spread

Ask Rate

Domestic Equivalent

1.43 Historic System Rates - Treasury (General)


Menu Path: Setup > Policies > Currency Details

Base Currency

Ref Code

Ref Description

Rate Date

Bid Rate

Spread

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Ask Rate

Period

Term Type

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1.44 Import Sources - Treasury (General)


Menu Path: Setup > System > Import Sources

Field Name

Value

Source Name
Authorized
Rec Method
Amounts include Decimal Point
Company
Currency
Account
Trailer Record
Verify Control Total
Transfer
Reverse
Comments

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.45 Intercompany Accounts - Treasury (General)


Menu Path: Setup > System > Journal Entry Actions

Company

IG Cparty Name

Principal GL

Interest GL

Bank Code

Currency

Account Number

1.46 Interest Override Tolerances - Treasury (General)


Menu Path: Setup > Policies > Interest Tolerances

Company

Function
Currency

Counter Party

Deal Type

Currency

Amount

Authorized

1.47 Interest Rate Policies - Treasury (General)


Menu Path: Setup > Policies > Interest Rate Policies

Value

Field Name
Currency
Invest/Fund
Minimum % Fixed
Maximum % Fixed

Period From

Type

Period To

Type

Description

Maximum Band

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Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.48 Journal Structures - Treasury (General)


Menu Path: Setup > System > Journal Entry Actions

Field Name

Value

Company
Deal Type
Deal Subtype
Prod Type
Portfolio
Date Type
Amount Type
Action Code
Bank GL
Prin GL
Int GL
Debit/Credit
GL Account
Effective From
Effective To
Comments

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.49 Lookups - Treasury (General)


Menu Path: Setup > Miscellaneous > Lookups

Value

Field Name
Type
Meaning/User Name
Application
Description
Access Level
Security Group

Code

Meaning

Description

Tag

From

To

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Enabled

Flexfield

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1.50 Market Data Curves - Treasury (General)


Menu Path: Setup > Market Data > Market Data Curves

Value

Field Name
Curve Code
Description
Type
Currency
Market Data Side
Default Interpolation
Authorized
Flexfield

Rate Code

Rate Description

Period

Term Type

1.51 Market Data Sets - Treasury (General)


Menu Path: Setup > Market Data > Market Data Sets

Data Set

Value

Field Name
Set Code
Description
Authorized
Flexfield
FX Spot
Bond Price
Stock Price

Yield Curves

Curve

Description

Currency

Market Data Side

Interpolation

Exchange Rate Volatility Curves

Curve

Description

Base

Contra

Market Data Side

Interpolation

Interest Rate Volatility Curves

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Curve

Description

Currency

Market Data Side

Interpolation

1.52 Notional Cash Pools - Treasury (General)


Menu Path: Setup > Parties > Cashpool

Value

Field Name
Cash Pool Name
Concentration Account
Account Number
Bank Name
Company
Legal Entity
Cash Pool Currency
Effective From
Effective To

Name

Type

Account Number

Bank

Company or
Subsidiary

1.53 Party Group Codes - Treasury (General)


Menu Path: Setup > Parties > Party Group Codes

Code

Description

1.54 Payment Schedules - Treasury (General)


Menu Path: Setup > Deals > Payment Schedules

Field Name

Value

Deal Subtype
Product Type
Payment Schedule
Schedule Code
Default Schedule
Description
Payment Frequency
Calculation Type
Posting Parameters
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Max Postings
Extend Deal if Trans<
Posting Frequency
Settlement Months for Ad Hoc Frequency Only
Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.55 Physical Cash Pools - Treasury (General)


Menu Path: Setup > Parties > Cashpool

Cash Pool

Value

Field Name
Cash Pool Name
Concentration Type
Concentration Account
Account Number
Bank Name
Company
Legal Entity
Cash Pool Currency
Effective From
Effective To
Bank Initiated Sweeps
Parent Cashpool

Sub Accounts

Name

Type

Account Number

Bank

Company or
Subsidiary

Target Balance
Minimum

Target Balance
Maximum

Minimum Payment
Amount

Minimum Receipt
Amount

Target Balances

Account

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Transfer Amount:
Rounding Factor

Transfer Amount:
Rounding Rule
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Deal Attributes

Portfolio

Product Type

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.56 Portfolio Codes - Treasury (General)


Menu Path: Setup > System > Portfolio Codes

Value

Field Name
Company
Short Name

Code

Name

External Portfolio

Ext Party

Internal

Second Level Value

Value

1.57 Profile Options - Treasury (General)


Menu Path: Profile > System

Profile Option

Level

Level Value

1.58 Reconciliation Methods - Treasury (General)


Menu Path: Setup > System > Import Sources

Rec Method

Seq

Pass Code

Description

Days Adjust

Manual Verification

1.59 Reconciliation Passes - Treasury (General)


Menu Path: Setup > System > Import Sources

Pass Code

Description

Reconcile On Column

Reconcile Criteria

1.60 Settlement Limits - Treasury (General)


Menu Path: Setup > Policies > Limits

Company

Counterparty Code

Counterparty Name

Expiration Date

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Authorized

Limit Amount
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1.61 Sovereign Limits - Treasury (General)


Menu Path: Setup > Policies > Limits

Company

Country

Authorized

Limit Amount

1.62 Stock Issues - Treasury (General)


Menu Path: Setup > Deals > Stock Issues

Field Name

Value

Issue Code
Issue Description
Issuer Code
Authorized
Flexfield
Issue Details
Currency
Ticker Symbol
Security ID
Exchange
Issue Date
Sector
Product Type
Revaluation Details
Rate Reference
Market Data Set
Pricing Model

1.63 System Languages - Treasury (General)


Menu Path: Setup > System > System Languages

Field Name

Value

Module Name
Form Name
Canvas Type
Item Name
Original Text
Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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Language

Prompt

1.64 System Parameters - Treasury (General)


Menu Path: Setup > System > System Parameters

Name

Value

1.65 System Rate - Archive Parameters - Treasury (General)


Menu Path: Setup > Policies > Currency Details

Ref Code

Ref Description

Archive

Frequency

1.66 System Rate - Data Feed Codes - Treasury (General)


Menu Path: Setup > Policies > Currency Details

Reference Code

Description

Feed Source

External Reference Code

1.67 Tax - One Step Settlement Codes - Treasury (General)


Menu Path: Setup > Tax / Brokerage > Tax Schedule & Details

Company

Schedule

Settlement Code

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.68 Tax Categories - Treasury (General)


Menu Path: Setup > Tax / Brokerage > Tax Schedule & Details

Value

Field Name
Code
Description

Deal Type

Subtype

Product

Deal Counterparty

Principal: Schedule

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Principal: Rate

Income: Schedule

Income: Rate

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1.69 Tax Rate Groups - Treasury (General)


Menu Path: Setup > Tax / Brokerage > Tax Schedule & Details

Code

Effective From

Percentage Rate

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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1.70 Tax Schedules - Treasury (General)


Menu Path: Setup > Tax / Brokerage > Tax Schedule & Details

Schedule

Rate Code

Payee

Deal Type

Calculation

Description

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

Rule

Precision

Settlement
Method

Authorized

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1.71 Tax Settlement Codes - Treasury (General)


Menu Path: Setup > Tax / Brokerage > Tax Schedule & Details

Company

Settlement Code

Description

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

GL Account

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1.72 User Access Levels - Treasury (General)


Menu Path: Setup > System > User Access Levels

User

Value

Field Name
Treasury User
Description
Application User
Allow Interest Override

Company

Company

Name

Authorized

Deal

Deal Type

Subtype

Subtype Name

Product Type

Product Name

Input Authorized

Validation
Authorized

2 Filter Summary
No Filters Applied

Treasury Steps Config - 'R12.1' - 09-03-2010 15-32

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3 User Filter Summary


No Filters Applied

4 Warnings Found
No Warnings Encountered

5 Errors Found
No Errors Encountered

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