In the Transfer Average Net Assets Data - Batch panel in the Global Process workspace, you can manually populate the table that stores average net assets data for a specific date or date range. The system populates this table automatically during the daily Audit Close process. You can use this panel/event to calculate three year and five year average net assets for use with performance fees. The event can calculate a period to date total net asset amount and period to date total day count. Based off these stored values and the performance fee setup, the system can calculate the correct average net asset amount.
To transfer average net assets manually:
- In Accounting Center, in the left navigation pane, click Processing and Exceptions > Global Processes.
You see the Global Process workspace. - In the left navigation, click Average Net Assets Data Transfer and Transfer Average Net Assets Data - Batch.
You see the Transfer Average Net Assets Data - Batch panel. - Complete the options on the Transfer Average Net Assets Data - Batch panel.
You must enter date criteria and the NAV status. The remaining criteria are optional. - Click Submit.
The Loopbacks pane appears at the bottom of the panel, where you can review the global processing results.
Transfer Average Net Assets Data - Batch Panel Options
The following are the options in the Transfer Average Net Assets Data - Batch panel.
Option | Tag | Description |
---|---|---|
Entity Parameters | ||
Entity ID | 1163 | Specifies the entity identifier for an entity. |
Entity Name | 1164 | Specifies the entity name for an entity. |
Process Center | 4896 | Specifies the process center. |
Conversion Status | 3914 | Specifies the conversion status of entities you want to process. |
Run Options | ||
Event Type | 55 | Displays the event type value of GEN_INSERT_ANA. |
Transfer Type | 991 | Identifies whether you are transferring data for a single date or for a date range. Options include:
|
Start Date | 220 | Defines the beginning date of the data to transfer. This field appears if you set the Transfer Type field to a value of Transfer Date Range. |
End Date | 221 | Specifies the ending date of the data to transfer. |
NAV Status | 3190 | Identifies the status of NAV values to transfer. Options include:
|