Change Indices
Some fields are locked when there is an existing position on the security. This is because a change would impact the existing position. These fields include Asset Currency, Investment Type, Processing Security Type, Quantity Type, Price Multiplier, and Quantity Scale. Other fields are locked so they cannot be changed. See the About Locked Security Master Record Fields in Issue Viewer page for more information.
If you need to change a security master record, Eagle recommends canceling the security, making changes to the security master record, and rebooking the security.
To manually change an index:
In Accounting Center, in the left navigation pane, click Setup > Securities > Manage Securities > Issue Viewer.
You see the Issue Viewer tool.Enter the query parameters and click Search.
You see a list of security records that meet your selection criteria in the Query Result window.Select the security record you want to update, click the Change arrow, and click Change Index. Or double-click the security record.
You see the Change Index panel.Change the options on the Change Index panel.
Click Submit.
Index Panel Options
The following are the options in the Index panel.
Option | Tag | Description |
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SRM Status Flag | ||
Release Status | 614 | Displays the release status of the Security Reference Manager (SRM) record. This field is null when adding a new security. |
Authorize Flag | 11742 | Flags records that have been authorized. |
Validation Process Flag | 4569 | Flags records that have been reviewed in the Security Reference Manager (SRM). |
Index Identification | ||
Issue Name | 961 | Specifies the name of the security. |
Issue Description | 962 | Describes the security. |
Ticker | 13 | Specifies the system of letters used to uniquely identify the security. |
Primary Asset ID Type | 1432 | Specifies the primary asset identifier type for the security, such as CUSIP, ISIN, and SEDOL. |
Primary Asset ID | 14 | Specifies the primary asset identifier for the security. |
Alt Asset ID Type | 5501 | Specifies an alternate asset identifier type for the security. |
Alt Asset ID | 1795 | Specifies the alternate asset identifier for the security. |
Index Details | ||
Investment Type | 11 | Specifies the investment type, such as INDX (Index). |
Processing Security Type | 3931 | Specifies the code value that the system uses to identify the type of security you are adding. For example, INXXXX, for index. |
Security Type | 82 | Specifies the type of security. |
Sub Security Type | 1464 | Specifies the sub security type. |
Granularity Category | 11476 | Specifies the asset's classification for ledger granularity purposes. If the security attributes available for ledger granularity account breakouts (security type, long/short indicator, Federal tax indicator, market sector description, affiliated/unaffiliated, and issue country) do not provide enough detail, you can use a granularity category to classify the asset for ledger reporting. Code values are maintained under the GRANULARITY_CAT code category. |
Cost Basis Rule Type | 2817 | Specifies the cost basis rule type for cost basis reporting. |
Quantity Type | 12 | Specifies the quantity generally accepted as a standard for exchange, such as shares and par. The system uses par as a default. |
Price Multiplier | 18 | Determines the price. In the case of short term debt instruments, the system defaults to a price of 1.00. You should not change this value once a position exists. |
Quantity Scale | 19 | Calculates the ratio of units bought to units used for earnings. The system default is 1, so that 1 unit of par purchased equals one unit of earnings. You should not change this value once a position exists. |
Country of Risk | 2288 | Specifies the issuer of the security's principal place of business. |
Country of Risk Code | 10536 | Specifies the code of the issuer of the security's principal place of business. |
Asset Currency | 85 | Specifies the currency in which the security is priced. |
State Code | 1343 | Specifies the state in which the security is issued. |
Index Flags | ||
Federal Tax Indicator | 1545 | Indicates whether the security is subject to federal tax. Options include:
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Synthetic Eligible | 12024 | Indicates whether the security is synthetic eligible. Options include:
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Look Thru Value | 1808 | Specifies the underlying security. |
Look Thru Ind | 1776 | Used to view exposure to the underlying security, index, or portfolio. |
Inactive Flag | 11043 | Specifies whether the security is inactive. Options include:
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Interest Rate Conversion Flags | ||
Rate Conversion Rule | 12849 | Identifies the name of the rate conversion rule used to convert a fixed income security's reference interest rate from one rate quotation basis to another. The rate conversion rule determines the inputs of the conversion calculation. If you set up a floating rate or inverse floating rate security with a reference rate for an underlying index that converts the interest rate, the rate conversion rule you specify for the underlying index displays as the fixed income security's default value. For more information, see Convert a Security's Interest Rate from One Rate Quotation Basis to Another. Options include:
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