To book a cash distribution for private equity using the Book Trade tool:
In Accounting Center, in the left navigation pane, click Transactions > Trades > Book Trade/Rebook Trade > Book Trade.
You see the Book Trade workspace.Complete the options in the Search Details pane and click Search.
You see the search results based on the criteria you selected.Select the row with the private equity security with holdings you want to update.
On the Book Trade tab, in the Actions group, click Action Rules, point to Other, and then click Capitalization/Cash Entry/Final CloseCash Distribution.
You see the Cash Distribution/Capitalization/Cash Entry/Final Close panel.In the Entity Information section and the Issue Information section, identify the entity and security for the private equity position that you want to update.
Under Capitalization/Cash/Close Information, set Transaction Name to Cash.
You see the fields that apply to a Cash transaction. You can view the commitment amount for the private equity fund.Under Local Values, in the Local Cash Amount field, specify the local amount of the cash distribution.
You can specify values for income, expense, cost, and recallable capital as needed.
If the settlement currency differs from the asset currency, you can specify a settlement cash value. If you enter an income/expense amount, you can also identify the corresponding account number. The system calculates the gain/loss amount and base value amounts.Under Other Information, in Transaction Notes, select a reason for the transaction
Complete the remaining options on the Cash Distribution/Capitalization/Cash Entry/Final Close panel.
Click Submit to process the cash distribution.