- From the Accounting Center window, click Reconciliation in the left navigation.
- Click Admin.
- Click Administration.
- Double click Entity List Manager.
You see the Entity List Manager tool.
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You must define the data sources to use before loading records for reconciliation. The data sources identify the positions, ledger balances, and lots data to audit for any portfolio and entity list. When position reconciliation compares two sets of competing records, the process chooses records by data sources for the left side and the right side of the mathematical comparison.
To define data sources to use during Position reconciliation:
- From the ETL Center window, click Data in the left navigation.
- Click STAR to PACE and click Source Interface.
- Double click Add Source Interface.
You see the Add Source Interface panel. - Complete the options on the panel and click Submit.
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You can group a set of sources using the code value tables for a specific Code Category, such as POSREC_SRCS. A set of custodians, such as CUSTODY1 and CUSTODY2, can be defined for use as a unified set of sources by adding the sources as code values under the category, along with a name to use as the name of the list. The set of sources is called a named list of sources and the data associated to the set of sources can be used as one side of the match. On the code values record serving as the name of the list, you must set the Code Value Description to L. |
The following table list examples of data sources used with position reconciliation.
Position Data Location | Source Code | Description |
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Custodian files | CUSTODY1 | For warehouse to warehouse matching |
ESTAR | PORT_VAL | For ESTAR to warehouse matching |
Custodian files (Local only) | CUSTODY1 | For local to local positions matching using work tables |
Eagle Accounting (Local only) | STAR | For local to STAR matching |
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You can create exception assignment rules to simplify the workflow to automatically identify breaks based on entity or security attributes and then take the appropriate actions, such as, apply comments, categorize explained differences, and assign unexplained differences to users or user groups for resolution. Once created, you can execute these rules from the Position Recon console or execute in a message stream following the Run Match Now stream.
To define an exception assignment rule:
- From the Position Recon console, click AssignmentRules.
You see the Assignment Rules pane with the current list of assignment rules and the Assignment Rule Detail pane with the list of details for any selected rule. - Right click NewRule.
You see the Add New Rule dialog box. - In the Rule Name text box, enter the name of the new rule.
- Click the Module drop down and select the type of reconciliation.
Options include:
– Positions (Default)
– Lot
– Ledger - Specify whether you want the rule inactive or available for use.
Options include:
– Is Active (Default). The rule is available for use. - Click OK to save the rule.
You see the Assignment Rules window with the refreshed list of rules. - Select the rule from the list and in the Assignment Rule Details pane right click AddRuleDetails.
You see the Add Rule Details dialog box. - Specify whether you want the rule applied conditionally or applied to all records.
Options include:
– Always (Default). Indicates that you want all records processed for assignment.
– Conditional. Indicates that you want to filter the records processed for assignment. When you select this option, you must click the Data Field drop down and select the database and column values used to qualify the selection of exceptions, including database filter logic using Boolean operators. You can select from the HOLDING, SECURITY, and RULES database tables. - Specify whether you want the rule to directly assign exceptions or evaluate exceptions for explained and unexplained differences before assignment.
Options include:
– SingleAssignment (Default). Indicates that you want all breaks on a specific field assigned a specific break category, break sub category, and user/user group for handling. You can specify an expiration date for single assignments.
– DependencyRule. Indicates that you want to break on a specific field after the evaluation of breaks on underlying fields. When you evaluate the underlying fields, the rule assigns each field a break category and subcategory, including a calculation field with the unexplained amount, if any, after considering the overall set of field differences. - For a single assignment election, click the MasterField drop down, select the field to inspect for breaks, and then assign a break category, break sub category, and user/user group for handling.
- For the dependency rule election, click the plussign to add a record to specify an underlying field for evaluation, commenting, and assignment. On each record, you must click the FieldName drop down and select an underlying field to evaluate and then specify the break category, break sub category, user/user group assigned for handling, and a free form comment. You can specify an expiration date for each field supporting the dependency rule.
- Repeat Step 11 for additional underlying fields, as required to complete the dependency rule details.
NOTE: The UNKNOWN record exists as a permanent underlying field and displays the net unexplained difference, if any, that you can assign for research and resolution. - When complete, click OK.
For example, you can use an assignment rule to evaluate the reconciliation of Book Values by comparing the sum of Amortization LTD, Original Issue Discount (OID) LTD, and Current Disallowance out of balances to the Book Value out of balance on conversion day. Due to the settings on the entity accounting bases, you can expect differences explained by one or more of these fields. The assignment rule is set up to label the Amortization LTD out of balance as "Amortization"', the OID LTD difference as "OID Amortization", and the Current Disallowance out of balance as "Wash Sales", with the residual out of balance amount, if any, labeled as "Unknown" and assigned to a user/user group for research and manual reconciliation.
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You must define entity bank relationships when Custodian cash activity records contain internal custodian account numbers requiring translation to the Eagle Accounting entity id values. For a given custodian bank code, the Entity Bank Relationship feature provides a unique mapping for a custodian account to an Eagle STAR entity ID. The entity bank relationship mappings are required when using the local MSGCENTER tables loaded by custodian message streams.
To define an Entity Bank Relationship:
- From the Accounting Center window, click Accounts.
- Click Account Setup and Maintenance and Entity-Custodian Relationships.
- Double click Add Entity Bank Relationship.
You see the Add Entity Bank Relationships panel. - Complete the options on the panel and click Submit.
NOTE: The Code Values table stores custodian bank codes uses code category CUSTODIAN_BANK.
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The MSGSERVICE.INI configuration file sets key variables used by the Position Recon console and associated message streams. The configuration file is located in the Eagle STAR Config Files/Configuration Files/msgcenter webserver folder and the Position Recon parameters are located in the [POSRECON] section of the file.
To view/edit the MSGSERVICE.INI configuration file:
- From the Accounting Center window, click Reconciliation.
- Click Admin and Administration.
- Double click Engine Manager.
You see the Engine Manager application window. - In the left pane, navigate to the folder path and filename with the MSGSERVICE.INI configuration file.
- Open the file for editing.
- Complete the options in the [POSRECON] section of the configuration file.
- Click Save.
You must exit and then re-open the Position Recon console to acquire the new configuration options.
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The following [POSRECON] options configure the behavior of the Position Recon console:
- DataSetOption. Specifies the mode of comparison for Position reconciliation. See the Decide on the Mode of Comparison section for additional information.
- SourceListCodeCategory. Specifies the code values category for the source named list.
- MatchStream. Specifies the stream triggered by Run Match Now.
- LedgerBalanceMatchStream. Specifies the stream triggered by Run Match Ledger.
- OpenLotMatchStream. Specifies the stream triggered by Run Match Lot.
- LoadSTARPositionsStream. Specifies the stream to Refresh STAR Positions.
- LoadPACEPositionsStream. Specifies the stream to Refresh PACE Positions.
- ImportCustodyPositionsStream. Specifies the stream to Import Custodian Positions to work tables.
See the About Message Streams to Use section for information about the selection of streams.