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- In Accounting Center, in the left navigation pane, click Fund Accounting > DistributionsDistributions > Periodic Distributions > Post Periodic Distribution.
You see the Post Periodic Distribution panel. - Complete the options in the Post Periodic Distribution panel.
- Click Submit.
The system posts the transaction to the general ledger and updates pricing and reconciliation as appropriate.
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Option | Tag | Description |
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Add Periodic Distributions | ||
Entity Name | 1164 | Specifies the master fund entity name. When you select the Entity ID, the system displays the corresponding entity name. |
Entity ID | 1163 | Specifies the master fund entity identifier. |
Class Code | 34 | Specifies a valid share class. For example, TF for total fund or a share class code. |
Accounting Date | 36 | Specifies the accounting date for the entity. |
Monthly Accounting Date | 4733 | Specifies the month end accounting date. |
Record Date | 731 | Specifies the record date. |
Ex-Date | 65 | Specifies the ex-date. An ex-date is the date on or after which a security is traded without a previously declared dividend or distribution. For periodic distributions, the ex-date identifies the periodic distribution ex-date. |
Payable Date | 1119 | Specifies the payment date. |
Reinvestment Date | 732 | Specifies the reinvestment date. |
Income Distribution Shares Type | 759 | Displays whether the fund uses settled or outstanding shares to calculate the distribution rate amount for periodic income distributions based on the rate you input. |
Income Distribution Shares | 737 | Displays the shares used to calculate the Income periodic distributions. |
Income Taxable Indicator | 2283 | Determines the general ledger account to which the Income periodic distribution amount posts. Options include:
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Income Distribution Rate per Share | 825 | Specifies the rate used to calculate the Income periodic distributions. |
Income Distribution Amount | 781 | Specifies the amount used to calculate the Income periodic distributions. |
ST Capital Gain Distribution Shares Type | 3698 | Displays whether the fund uses settled or outstanding shares to calculate the distribution rate amount for periodic short term capital gain distributions. |
ST Capital Gain Distribution Shares | 4465 | Specifies the shares used to calculate the periodic short term capital gain distributions. |
ST Capital Gain Distribution Rate per Share | 782 | Specifies the rate used to calculate the periodic short term capital gain distributions. |
ST Capital Gain Distribution Amount | 783 | Specifies the amount used to calculate the periodic short term capital gain distributions based on the rate input. |
LT Capital Gain Distribution Shares Type | 3697 | Displays whether the fund uses settled or outstanding shares to calculate the distribution rate amount for periodic long term capital gain distributions. |
LT Capital Gain Distribution Shares | 4466 | Specifies the shares used to calculate the periodic long term capital gain distributions. |
LT Capital Gain Distribution Rate per Share | 784 | Specifies the rate used to calculate the periodic long term capital gain distributions. |
LT Capital Gain Distribution Amount | 785 | Specifies the amount used to calculate the periodic long term capital gain distributions. |
Special Distribution Shares Type | 4485 | If the distribution applies to a special distribution, determines whether the fund uses settled or outstanding shares to calculate the distribution rate amount for periodic special distributions. Options include:
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Special Distribution Shares | 4486 | If the distribution applies to a special periodic distribution, displays the fund's outstanding or settled shares based on the Special Distribution Shares Type field value selected. |
Special Distribution Rate per Share | 4467 | If the distribution applies to a special periodic distribution, specifies the rate per share. |
Special Distribution Amount | 4489 | If the distribution applies to a special periodic distribution, specifies the amount, based on the specified rate. |
Estimated Reinvestment Percentage | 690 | Specifies the estimated reinvestment percentage. |
Estimated Reinvestment Amount | 791 | Specifies the estimated reinvestment amount. This is the estimated amount of the distribution that is automatically reinvested back into the fund. |