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The table below includes system settings by area, name and description.


SYSTEM_INSTAreaNameDescription
1DebuggingDump Process info for Debugging. ( values: 0: No, 1: Yes )( default: 0 )This can be used to get more useful information in the log file if needed for debugging purposes.  Set to 1 and submit events at log level 10 to get the maximum amount of debugging information in the log files
1010DisplayClient : History results default number of days to look backThis numeric setting can be used to determine the date range used to display historical data in the detail screens.  The default is 30.1017DisplayClient: Fields to filter on manage overrides screenThis can be used to create the list of available fields to use as a filter in the manage overrides screen1019DisplayClient: Security summary show release levels greater than this value as green (default : 3)This setting can be used to help with RDC workflow. By default, a security's status will only show as a green circle if the release level is set to 3 or higher.  To set the value to green if release level is eg at 2 (Released for Trading and Back Office), you can change this value 1025DisplayClient: Fields to filter on manage released exceptions screenThis can be used to create the list of available fields to use as a filter in the manage released exceptions screens 4
4Engine ProcessingData Keys limit: For one rule engine process. ( values: > 0 )( default: 10,000 )This setting determines how many data keys are handled by one event. The engine will automatically create multiple parallel processing child events if the number of items to be processed by one Data Strategy exceeds the set value.  Default value is 10,000
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 Engine
Engine ProcessingEnables/disables code values translations during the compositing.
 22Engine ProcessingCommit Data Language ID. ( values: L_ID from pace_masterdbo.egl_languages )( default: 0 )This setting is used to determine what language ID to use for _ML (multi lingual) fields during commit
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 24Engine ProcessingWrite Rejection Process. ( values: 0: No, 1: Yes )( default: 1 )Used to enable the engines's rejection process component, which writes rejection statuses.
 26Engine ProcessingAuto fix data keys move between Data Strategies. ( values: 0: No, 1: Yes )( default: 0 )When set to 0, a security that has changed criteria and now is part of a new data strategy will show the error message “MULTIPLE DATA STRATEGIES APPLY TO THE SAME KEY INSTANCE. DATA STRATEGIES" when opened in RDC.  To automatically move a security to the new data strategy and mitigate this error, this setting can be seto to 1.
 27 Engine ProcessingCheck for conflicting data keys between Data Strategies. ( values: 0: No, 1: Yes )( default: 1 )if set to 0, the data key (assuming there is one in conflict and falls in to multiple data strategy criteria) will simply be processed by the last data strategy to run. If set to 1, the engine will log the conflict and the data key won’t be processed
 28Engine ProcessingTime out period in minutes for locking data keys. ( values: > 0 )( default: 10 )Determines how long an item that is opened in RDC in edit mode is locked (to prevent two users editing the same security at the same time), before it is unlocked.  When an item is unlocked, the user who has it open will now only be in view mode and another user will be able to edit the item.
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 30Engine ProcessingUpdate underlying data release levels. ( values: 0: No, 1: Yes )( default: 0 )If set to 1, any release level on linked underlying securities will also be updated
 31Engine ProcessingTime out period in minutes for engine locked data keys. ( values: > 0 )( default: 60 )In addition to items that are manually locked (by users opening them via the RDC screens), the engine also needs to be able to lock items while processing them. This determines how long an item is locked by the engine before being unlocked.
 32Engine ProcessingNew Security underlay days till expiration (default:30 days)This sets the default value for how long the underlay values when a new security is created manually will last before expiration. The default is 30 days.
 33Engine ProcessingNew Security perform unique xref check (values 0 = No, 1 = Yes default:1 Yes)This determines whether the engine should do a unique xref check when a new security is manually created.
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39SummaryNumber of days summary query should look back. ( default: 30 )Sets the value of the number of days the Summary screens queries should look back for as of day results.
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 44Engine ProcessingDelta Process: Number of days to go back historically, and go forward in future for effective dates. ( values: >= 0 )( default: 7 )Used to determine how far back to look back and forward from the processing date, when processing in delta mode.
 45Engine ProcessingComponent Access: Enable Journal Write Process. ( values: 0: No, 1: Yes )( default: 1 )This setting is a flag used to determine whether the journal write process is enabled. 
 46Engine ProcessingComponent Access: Enable Earnings Handler Process. ( values: 0: No, 1: Yes )( default: 0 )This setting is a flag used to determine whether the earnings handler process is enabled.
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51Engine ProcessingNumber of days to look back for validating the data. ( values: -1: Always. 0: Never. >1: Days to validate )( default: -1 )This is used to set the value that RDC should look back when validating data. If data is older than the date determined using this setting, historical data will be released without validation.
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53Third Party Cash Flow
This is a flag used to determine whether to use the begin and end dates data from the source data for Schedule Dates validation
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54SchedulesNew Schedule underlay days till expiration (default: 1 day)New Schedule underlay days till expiration (default: 1 day)
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1000SecuritiesClient: Fields to display on security summary screenThis can be used to manage fields that are available as display columns in the Securities summary screen
1001Securities Client: Fields to filter on security summary screenThis can be used to manage field that are available as filters in the Securities summary screen. 
1002


1003SummaryClient: Virtual page sizeThis setting determines how many records are in one virtual page, for display purposes
1005SetupClient: Default panel path locationThis setting determines where panels will automatically be saved to when creating and editing Data Strategies
1006SetupClient: Security fields to display during security lookup from Logic BuilderThis setting determines what fields are displayed for security lookup from Logic Builder
1007
The processing security types (PSTs) to exclude from the security summary query resultsThe default is SWLEAC,SWLEIF,SWLXEQ,SWLEDB.
1009SummaryAllow case insensitive search on the summary screens. ( values: 0: No, 1: Yes) (default: 1)Use this setting to allow case insensitive search on the summary screens
1010DisplayClient : History results default number of days to look backThis numeric setting can be used to determine the date range used to display historical data in the detail screens.  The default is 30.
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1016


1017DisplayClient: Fields to filter on manage overrides screenThis can be used to create the list of available fields to use as a filter in the manage overrides screen
1019DisplayClient: Security summary show release levels greater than this value as green (default : 3)This setting can be used to help with RDC workflow. By default, a security's status will only show as a green circle if the release level is set to 3 or higher.  To set the value to green if release level is eg at 2 (Released for Trading and Back Office), you can change this value
1021SetupThe default prefix to use for migration ids of RDC meta data elements ( default: EGL_ )The default prefix to use for migration ids of RDC meta data elements ( default: EGL_ )
1022SetupValue used to identify a currency security (default: CRCRCR)Value used to identify a currency security (default: CRCRCR)
1025DisplayClient: Fields to filter on manage released exceptions screenThis can be used to create the list of available fields to use as a filter in the manage released exceptions screens
1026Third Party Cash FlowClient: Fields to display on cash flow summary screenThis is used to define what columns are available to display in the cash flow summary screen
1027Third Party Cash FlowClient: Fields to filter on cash flow summary screenThis is used to define the list of available fields to use as a filter in the cash flow summary screen.
1028Legal EntityDefault fields to show on the legal entity search pageUse this setting to manage what columns are available to display in the legal entity summary screen
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1029Legal EntityDefault filter fields for the legal entity summary search pageUse this setting to define the list of available fields to use as a filter in the legal entity summary screen
1030Prepayment SpeedsDefault fields to show on the prepayment time series search pageUse this setting to define what columns are available to display in the Prepayment Time Series search page
1031Prepayment SpeedsDefault filter fields for the prepayment time series search pageUse this setting to define the list of available fields to use as filters in the Prepayment Time Series search page
1032Third Party Cash FlowDefault fields to show on the cash flow details screen (middle section)This is used to define the list of field to show on the cash flow details screen
 1033Legal EntityClient: Issuer fields to display during issuer lookupUse this setting to define what issuer fields are displayed as reference information during issuer lookup
 1034Legal EntityClient: Fields to filter on the Legal Entity manage overrides screenUse this setting to define the list of available fields to use as
af itler
a filter in the legal entity manage overrides screen
 1035Legal EntityClient: Fields to filter on the Legal Entity manage released exceptions screenUse this setting to define the list of available fields to use as a filter in the legal entity manage released exceptions screen
 1030Prepayment SpeedsDefault fields to show on the prepayment time series search pageUse this setting to define what columns are available to display in the Prepayment Time Series search page
 1031Prepayment SpeedsDefault filter fields for the prepayment time series search pageUse this setting to define the list of available fields to use as filters in the Prepayment Time Series search pageNew Schedule underlay days till expiration (default: 1 day)
 1036PricingClient: Fields to display on pricing summary screenUse this setting to define what columns are available to display in the Pricing summary screen
 1037PricingClient: Fields to filter on pricing summary screenUse this setting to define the list of available fields to use as filters in the Pricing summary screen
 1038PricingClient: Fields to display on pricing summary screen (view by vendor)Use this setting to define what columns to display in the Pricing summary screen (view by vendor)
 1039PricingClient: Fields to filter on pricing summary screen (view by vendor)Use this setting to define the list of available fields to use as filters in the Pricing summary screen (view by vendor)
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 1041PricingClient: Fields to display on exchange rate summary screenUse this setting to define what columns to display in the Exchange Rate summary screen
 1042PricingClient: Fields to filter on exchange rate summary screenUse this setting to define the list of available fields use as filters in the Exchange Rate summary screen
 1043PricingClient: Fields to display on exchange rate summary screen (view by vendor)Use this setting to define what columns to display in the Exchange Rate summary screen (view by vendor)
 1044PricingClient: Fields to filter on exchange rate summary screen (view by vendor)Use this setting to define the list of available fields use as filters in the Exchange Rate summary screen (view by vendor)
 54SchedulesNew Schedule underlay days till expiration (default: 1 day)
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 1047SchedulesAdd Sink Schedule to Corporate Actions ( values: 0: No, 1: Yes )( default: 1 )This setting determines whether sink schedules will be added to Corporate Actions
 1000SecuritiesClient: Fields to display on security summary screenThis can be used to manage fields that are available as display columns in the Securities summary screen 1001Securities Client: Fields to filter on security summary screenThis can be used to manage field that are available as filters in the Securities summary screen.  1005SetupClient: Default panel path locationThis setting detetermines where panels will automatically be saved to when creating and editing Data Strategies 1006SetupClient: Security fields to display during security lookup from Logic BuilderThis setting determines what fields are displayed for seucrity lookup from Logic Builder 1007 SetupThe processing security types (PSTs) to exclude from the security summary query results The default is SWLEAC,SWLEIF,SWLXEQ,SWLEDB. 1021SetupThe default prefix to use for migration ids of RDC meta data elements ( default: EGL_ )The default prefix to use for migration ids of RDC meta data elements ( default: EGL_ ) 1022SetupValue used to identify a currency security (default: CRCRCR)Value used to identify a currency security (default: CRCRCR) 39SummaryNumber of days summary query should look back. ( default: 30 )Sets the value of the number of days the Summary screens queries should look back for as of day results. 1003SummaryClient: Virtual page sizeThis setting determines how many records are in one virtual page, for display purposes 1009SummaryAllow case insensitive search on the summary screens. ( values: 0: No, 1: Yes) (default: 1)Use this setting to allow case insenstive search on the summary screens 53Third Party Cash FlowThird Party Cash Flows: Use source data Begin & End flow dates range for Schedule Dates validation. ( values: 0: No, 1: Yes )( default: 1 )This is a flag used to determine whether to use the begin and end dates data from the source data for Schedule Dates validation 1026Third Party Cash FlowClient: Fields to display on cash flow summary screenThis is used to define what columns are available to display in the cash flow summary screen 1027Third Party Cash FlowClient: Fields to filter on cash flow summary screenThis is used to define the list of available fields to use as a filter in the cash flow summary screen. 1032Third Party Cash FlowDefault fields to show on the cash flow details screen (middle section)This is used to define the list of field to show on the cash flow details screen
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