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The schedule is structured as follows.
Schedule Type (1250) =
CPNRESET (Coupon/Reset)
Effective Date (1109, Both Legs): first day in the calculation period; this is Dated Date for the first period and prior reset date in all subsequent periods
End Date (73, Both Legs): last day in the calculation period and date when return is locked in
Fixing Date (16410, Finance Leg, V17): date from which the floating rate is pulled for accruals through End Date
Valuation Date (16409, Return Leg, V17): date from which the TRS price is pulled for the reset
Reset Date (16408, Both Legs, V17)
Return Leg: date return is locked in, new price is applied, and notional changes (if applicable); this will match End Date
Finance Leg: first day of accruals and date when floating rate was applied for accruals through End Date; this will match Effective Date
Cash Payment Date (16411, Both Legs, V17): date when cash settles