Tag # – Tag Name | Required/Optional | Data Type | Value/Description of Field |
---|---|---|---|
55 – Event Type | Required – must be ADDENTITY | CHAR | Used by message stream processing. |
1081 – Validation Level(internal processing field) | Required | CHAR | Controls the application of Eagle Accounting core validations. Options include: |
21 – Accounting Basis | Required – default value is USTAX | VARCHAR2(5) | The accounting basis used for position. USTAX, USGAAP, IASGAAP. |
22 – Cost Method | Required | VARCHAR2 (2) | Valid values: |
27 – Lot Selection Method | Required | VARCHAR2 (5) | Valid values: |
29 – Entity Long Name | Optional | CHAR (60) | The full name of the entity. |
57 – Tech Short Eligible Indicator | Required – default value is Y | VARCHAR2 (2) | Valid values: |
58 – Auto Settle Indicator | Required – default value is N | VARCHAR2 (2) | Valid values: |
86 – Account Base Currency | Required | CHAR (3) | Must be a valid currency code. |
301 – Lookup STIF Issue Name | Optional | CHAR | The receiving account number on a MTLINK event. |
364 – Lookup STIF Asset ID | Optional | CHAR |
The source account's cusip on a MTLINK event. | ||
527 – Settle Tolerance Income | Optional | NUMBER (28,12 |
) | The acceptable over-under range for an income payment. | ||
528 – Settle Tolerance Trade | Optional | NUMBER (28,12) | The acceptable over-under range for a trade settlement. |
624 – Accounting Period Frequency | Required – default value is D | VARCHAR2 (30) | Valid values: |
632 – Net Futures Positions | Optional | VARCHAR2 (30) | Valid values: |
634 – Futures Clearing Broker Code | Optional | VARCHAR2 (30) | Code Value lookup based on code category CLEARING BROKER. |
637 – Coupon Spreading Period | Required – default value is N | VARCHAR2 (30) | Valid values: |
639 – Net Option Positions | Optional | VARCHAR2 (30) | Valid values: |
641 – Future Cost Ledger Method | Optional – default value is CORE | VARCHAR2 (30) | Valid values: |
675 – Forward Security Exists | Optional | VARCHAR2 (3) | Valid values: |
769 – Settle Percent Tolerance Income | Optional | NUMBER (28,12) | Must be whole number. |
770 – Settle Percent Tolerance Trade | Optional | NUMBER (28,12) | Must be whole number. |
775 – Wash Sale Inhibit Indicator | Required – default value is Y | VARCHAR2 (2) | Valid values: |
989 – History Processing Switch(internal processing field) | Optional | CHAR | This switch is used for loads of historical entity data. If it is set to HISTORY_ONLY, the procedure will check for a record in the ENTITY_HIST table with an EFFECTIVE_DATE greater than the value in tag 1109. If a match is found, the incoming record will be stored in the ENTITY_HIST table only and will not affect the ENTITY table. If no match is found, both the ENTITY and ENTITY_HIST tables will be populated. |
1076 – Update Indicator | Required | CHAR | Y/N indicator used within message stream process. Valid values: |
1085 – Conversion Status | Optional | CHAR | Code Value lookup based on code category CONVERT STATUS. |
1105 – Entity Type | Required – default value is PORT | CHAR (4) | Type of entity. Sample values include: |
1109 – Effective Date | Required for |
the Performance Toolkit | DATE | Controls the establishment and updating of ENTITY and ENTITY_HIST records, which are used by the Performance Toolkit. | |
1138 – Inception Date | Required | DATE | Used for Eagle Performance. |
1143 – Taxable Indicator | Optional – default value is N | CHAR (30) | Valid values: |
1149 – Manager ID | Optional | CHAR (8) | The identification number of the portfolio manager. |
1160 – Inception Value | Optional | NUMBER (28,12) | The inception value of the entity. |
1161 – Termination Date | Optional | DATE | The termination date for the entity. |
1162 – Fiscal End Date | Required | DATE | Used for year–end close processing. |
1163 – Entity ID | Required | CHAR (8) | Must be Unique within database. |
1164 – Entity Name | Required | CHAR (30) | The name of the portfolio/composite. |
1282 – Long Price Source | Required – default value is EAGLE PACE | CHAR (15) | Lookup based on INTERFACES_DETAIL table. |
1283 – Entity Status | Required – default value is Y | VARCHAR2 (3) | Valid values: |
1304 – Contractual Cash Settlement Type | Required | VARCHAR2 (2) | Valid values: |
1334 – Entity Partition Assignment | Required – defaults to 1 | INTEGER | Dynamic lookup that retrieves available STAR partitions. |
1341 – Tax ID Number | Optional | VARCHAR2 (50) |
The source of the exchange rate used in valuation. | |||
1342 – Country Of Tax Code | Required | CHAR (10) | Must be a valid ISO currency code. |
1344 – FX Source | Required – default value is EAGLE PACE | CHAR (15) | Lookup based on INTERFACES_DETAIL table. |
1641 – Chart of Account | Required – default value is STAR | VARCHAR2 (30) | Lookup based on custom chart of account name. |
1859 – Entity Legal Name | Optional | VARCHAR2 (200) | Linked to Entity table legal_name. |
1871 – Gain/Loss on Paydowns | Required | CHAR (2) | Valid values: |
1872 – Short Term Price Method | Required – default value is M | CHAR (2) | Valid values: |
1941 – Calendar Name | Optional | VARCHAR2 (50) | Lookup based on valid calendars setup. |
2198 – STAR Start Date | Required | DATE | Used to create STAR accounting periods. |
2300 – Accounting Period Rule | Required – default value is 7 | CHAR | Used to determine how to set the accounting date on transactions. Valid values: |
3197 – Primary Amortization/Accretion Rule | Required – default value is DEFAULTNONE | VARCHAR2(12) | Lookup based on accounting rules |
3301 – Variable Rate Source | Required – default value is EAGLE PACE | VARCHAR2 (15) | Lookup based on INTERFACES_DETAIL table |
3889 – Futures & Options with Margin Transaction Fees | Optional | VARCHAR2 (2) | Futures and options with margin transaction fees |
3907 – Non Business Day Processing | Optional | VARCHAR2 (10) | Required if Calendar is being used. Valid values: |
3911 – Accrue Interest Tax Indicator | Optional | VARCHAR2 (3) | Valid values: |
3912 – Tax Accounting Method | Required – default value is GI | VARCHAR2 (10) | Valid values: |
3913 – Forward Position By Broker | Optional | VARCHAR2 (3) | Valid values: |
3915 – Conversion Date | Required | DATE |
The date the fund was converted to STAR. | |||
3916 – Live Date | Optional | DATE | The date the fund went live on STAR. |
3917 – Cost Allocation Indicator For Rights Issues | Optional | VARCHAR2 (3) | Valid values: |
3919 – Contract Settle Indicator | Optional | VARCHAR2 (3) | Valid values: |
3924 – Forward Close Eligible | Optional | VARCHAR2 (3) | Valid values: |
3926 – Forward Settlement Currency | Optional | VARCHAR2 (3) | Lookup based on currency code. |
3928 – Cash Dividend Distribution | Optional | VARCHAR2 (3) | Valid values: |
3929 – Entity Tax Type | Optional | VARCHAR2 (20) | Code Value lookup based on code category ENTITY TAX TYPE. |
3930 – Entity Tax Qualifier | Optional | VARCHAR2 (8) | Code Value lookup based on code category ETAX QUALIFIER. |
3950 – Cash Suspense Processing | Required | VARCHAR2 (3) | Valid values: |
4303 – Accounting Date Rule Group | Conditionally Required if tag2300 = Entity Group | CHAR (20) | Dynamic lookup of Entity Groups. |
4324 – Entity Code | Optional | VARCHAR2 (50) | Entity Code. |
4514 – Interest On Cash | Optional | VARCHAR2 (30) | Valid values: |
4515 – Cash Sweep | Optional – default value is N | VARCHAR2 (3) | Valid values: |
4519 – Paydown Gain/Loss Account | Conditionally Required if tag1871 = Y | VARCHAR2 (15) | Valid values: |
4605 – Expiration Delay Days | Required – default value is 0 | INTEGER | Valid values are any non decimal numeric value. |
4758 – S2P Delta Process Flag | Required – default value is N | VARCHAR2 (1) | Valid values: |
4896 – Process Center | Optional | VARCHAR2 (2) | Lookup based on Process Center. |
5011 – MFP Conversion Calendar | Optional | NUMBER(38,12) | Maps to ENTITY_EXTENSION and ENTITY_EXTENSION_HIST tables. |
5064 – MTM Rate Source | Optional | CHAR(15) | Mark to market rate source. |
5089 – Legal Entity Indicator (LEI) | Optional | VARCHAR2 (20) | Alphanumeric LEI assignment for this entity. For example, GYP225J5YLMZZGHN2C97. |
5090 - Legal Name | Optional | NVARCHAR2(255) | Legal Name |
5091 - Entity Status | Optional | NVARCHAR2(30) | Entity Status |
5092 - Legal Form | Optional | NVARCHAR2(30) | Legal Form |
5093 - Assigned Date | Optional | DATE | Assigned Date |
5094 - Last Update Date | Optional | DATE | Last Update Date |
5095 - Disabled Date | Optional | DATE | Disabled Date |
5096 - Record State | Optional | NVARCHAR2(30) | Record State |
5097 - Certification State | Optional | NVARCHAR2(30) | Certification State |
5098 - Street | Optional | NVARCHAR2(255) | Street |
5099 - City | Optional | NVARCHAR2(255) | City |
5100 - State | Optional | NVARCHAR2(255) | State |
5180 - Zip | Optional | NVARCHAR2(255) | Zip |
5181 - Country Code | Optional | NVARCHAR2(30) | Country Code |
5161 – Month End Date Rule | Required – default value is DEFAULT | CHAR (10) | Lookup based on Month End rules. |
5383 – Unrealized Gain/Loss Posting | Required – default value is Y | CHAR (1) | Valid values: |
5398 – S2P Create Performance Cash Flows In PACE | Required – default value is N | VARCHAR2 (1) | Valid values: |
5422 – Short Price Source | Required – default value is EAGLE PACE | CHAR (15) | Lookup based INTERFACES_DETAIL table. |
5563 – S2P Store Cash Positions In PACE | Required – default value is N | VARCHAR2 (1) | Valid values: |
5825 – Bifurcation Method | Required – default value is N | VARCHAR2 (3) | Valid values: |
5830 – Net Cap Floor | Optional | VARCHAR2 (1) | Valid values: |
7101 – Accounting Basis Lot Selection Rule | Required – default value is B | CHAR | Valid values: |
8141 – Stale Factor Processing | Required – default value is N | VARCHAR2(1) | Valid values: |
8251 – Treatment Of Fractional Shares Override | Optional | VARCHAR2 (1) | Valid values: |
8916 – Redemption Gain/Loss Indicator | Optional – default value is Y | VARCHAR2 (1) | Valid values: |
8919 – Short Term Discount Accrual Flag | Optional – default value is N | VARCHAR2 (1) | Valid values: |
8954 – Earn Thru Rule Name | Optional | CHAR | Required if Calendar is being used. Lookup based on Earn Thru rules. |
9406 – TBA Cashflow | Required – default value is N | VARCHAR2(1) | Valid values: |
9676 – Month End Long Price | Conditionally Required if tag9697 = Y. Default value is EAGLE PACE. | CHAR (15) | Lookup based on sources. |
9677 – Month End Short Price | Conditionally Required if tag9697 = Y. Default value is EAGLE PACE. | CHAR (15) | Lookup based on sources. |
9697 – Month End Processing Indicator | Required – default value is N | VARCHAR2 (1) | Valid values: |
9705 – Corporate Action FX Rule | Optional | VARCHAR2 (1) | Valid values: |
9921 – Awarded Rights Expiration Rule | Optional – default value is LOSS | VARCHAR2 (10) | Valid values: |
9922 – Cash Div Cash Entitlement Level | Optional – default value is LOT | VARCHAR2 (10) | Valid values: |
9923 – Sinking Fund Payment Redemption Gain/Loss | Required – default value is Y | VARCHAR2 (1) | Valid values: |
as Gain/Loss | |||
9924 – Cost Method Cash | Required | VARCHAR2 (2) | Valid values: |
10070 – Final Close Income Recognition Date | Required – default value is S | INTEGER | Valid values: |
10462 – Control Center Entity | Required – default value is N | VARCHAR2 (4) | Valid values: |
11408 – S2P Income Delta Process | Required – default value is None | CHAR | Valid values: |
11454 – S2P Value At Cost – No Price Found | Required | VARCHAR2 (255) | Valid values: |
11495 – Non Tax Merger Close Method | Required – defaults to Pro Rata Method | CHAR (8) | Identifies method to use for closing Non Tax Mergers. Valid values: |
11652 – Valuation FX Source | Required – defaults to Eagle PACE | CHAR (15) | FX Source to use for Valuation Purposes. |
11664 – Primary Basis Mixed Cost Basis Indicator | Required – default value is N | CHAR (50) | Y/N indicator. Mixed cost basis processing allows you to specify different lot selection methods based on processing security type. |
11666 – Primary Basis Mixed Cost Basis Rule Name | Conditionally Required if Tag11664 = Y. Tag 11666 must be populated with the rule name. | CHAR (50) | Dynamic lookup of mixed Cost Basis rules. |
11708 – Postmatrix Type | Required – defaults to CORE | VARCHAR2 (30) | Designates which Postmatrix file is referenced for processing. Valid values: |
11833 – Contract Cash Settlement Rule Name | Required | DATE | Lookup based on Cash Processing Rules. |
11852 – Coupon Cash Entitlement Level | Optional | CHAR (2) | Valid values: |
824 – Calendar Business Days | Required – defaults to C | VARCHAR2(1) | Valid values: |
1079 – Urgl Accounting Rule | Conditionally Required if tag 12387 = HFT, AFS, AFSC, FVO, LR, or HTM. | CHAR | Accounting Rule lookup |
1184– Swap Accrual Method | Optional | VARCHAR2(1) | Valid values: |
10705– Expense & Capitalize Trans Costs for Opens & Closes | Optional | VARCHAR2 (4) | Valid values: |
11081–Taxable Override Indicator | Optional | INTEGER | Y– Yes |
12071–Cash Breakage Election | Required | NUMBER (28,12) | I – Income |
12074 – Replay Suspense Activity | Required | NUMBER (28,12) | Y– Yes |
12101 – Option And Futures Expire Delay Days |
NUMBER (28,12) | Entity setting for identifying delay days for expiring options. | ||
2423 – Costcash Bulking Election* |
VARCHAR2(1) | Valid Values: | |
4623 – Entity Engine Number* |
INTEGER | Engine Number code value. | |
12387 – Regulatory Category |
CHAR | Lookup of regulatory categories | ||
2925 – Principal Loss Paydown | Optional | CHAR | Principal loss paydown. |
4519 – Paydown Gain/Loss Account | Optional | VARCHAR2 (15) | Paydown gain/loss account number. |
12038 – Accrual Convention Offset | Optional | DATE | Specifies when Eagle Accounting begins earnings accruals. Options include: |
5336 – Portfolio turnover Group Name | Optional | VARCHAR2(20) | Group name of portfolio exclude rules. Code value under PTGROUP code category and Eagle PACE. |
2487 – Limit Gain Loss Eligible | Optional | CHAR | Indicates whether or not the accounting basis is eligible for merger gain/loss limitation provisions. Options include Yes and No. |
3679 – Pending Trade Eligible Indicator | Optional | CHAR | Entity level indicator that determines if trades can be pended and not submitted directly to the STAR engine. Options include Yes and No. |
16726 - Minimum Balance |
MONEYL (2) | Minimum balance that should be processed during a Cash Sweep transaction. |
Fields for Use with Performance Measurement
Validation Level (tag 1081) is a required field that controls whether to apply Eagle Accounting core validations. Options include:
Null – Validations are applied using the core panels.
NONE – Validations are not applied. Additional fields are now required, including Effective Date (tag 1109), Entity ID (tag 1163), and Entity Type (tag 1105).
The following fields are loaded for use with Performance Measurement.
Tag # – Tag Name | Data Type | Database | Field |
---|---|---|---|
1081 – Validation Level | CHAR | See the Note above. |
var_char_5 | |||
2442 – Cumulative split ratio for retail performance | NUMBER(38,12) | ENTITY_EXTENSION | mfp_split_ratio |
2508 I Discretionary Status | VARCHAR2 (10) | ENTITY_EXTENSION | discretionary_flag |
2509 – Country where fund is managed | VARCHAR2 (10) | ENTITY_EXTENSION | domicile |
2510 – Fee paying/non fee paying | VARCHAR2 (10) | ENTITY_EXTENSION | fee_flag |
2511 – Industry – Standard | VARCHAR2 (10) | ENTITY_EXTENSION | industry |
2512 – Minimum Cash Percent | NUMBER(38,12) | ENTITY_EXTENSION | minimum_cash_pct |
2513 – Minimum MV | NUMBER(38,12) | ENTITY_EXTENSION | minimum_mv |
2514 – Strategy | VARCHAR2 (10) | ENTITY_EXTENSION | strategy |
2515 – Sub Strategy | VARCHAR2 (10) | ENTITY_EXTENSION | sub_strategy |
2094 – General status of the account. | CHAR (20) | ENTITY | account_status |
10745 – Entity.asset_class | VARCHAR2 (4) | ENTITY | asset_class |
1988 – Contingent deferred sales charge as of year 1 | NUMBER (28,12) | ENTITY | cdsc_load_year_1 |
11041 – Contingent deferred sales charge as of year 10 | VARCHAR2 (255) | ENTITY | cdsc_load_year_10 |
1989 – Contingent deferred sales charge as of year 2 | NUMBER (28,12) | ENTITY | cdsc_load_year_2 |
1990 – Contingent deferred sales charge as of year 3 | NUMBER (28,12) | ENTITY | cdsc_load_year_3 |
1991 – Contingent deferred sales charge as of year 4 | NUMBER (28,12) | ENTITY | cdsc_load_year_4 |
1992 – Contingent deferred sales charge as of year 5 | NUMBER (28,12) | ENTITY | cdsc_load_year_5 |
1993 – Contingent deferred sales charge as of year 6 | NUMBER (28,12) | ENTITY | cdsc_load_year_6 |
11038 – Contingent deferred sales charge as of year 7 | CHAR (50) | ENTITY | cdsc_load_year_7 |
11039 – Contingent deferred sales charge as of year 8 | CHAR (50) | ENTITY | cdsc_load_year_8 |
11040 – Contingent deferred sales charge as of year 9 | VARCHAR2 (255) | ENTITY | cdsc_load_year_9 |
1864 – Entity table client_id | INTEGER | ENTITY | client_id |
2072 – Flag account and/or holding as closed | CHAR (20) | ENTITY | closed_flag |
2067 – Customer type | CHAR (20) | ENTITY | customer_type |
1333 - Entity Alias | INTEGER | ENTITY | entity_alias |
1863 – Entity table entity_build_flag | CHAR (2) | ENTITY | entity_build_flag |
9510 – Entity_sub_type | VARCHAR2 (20) | ENTITY | entity_sub_type |
1987 – Front end sales charge | NUMBER (28,12) | ENTITY | front_end_load |
2073 – Flag no activity for 12 months | CHAR (20) | ENTITY | inactive_flag |
9519 – Incentive_fee | NUMBER (28,12) | ENTITY | incentive_fee |
2422 – Used to capture unique share class identifier | CHAR(8) | ENTITY | parent_fund_id |
1855 – Portfolio type | CHAR (4) | ENTITY | portfolio_type_code |
10738 – Reporting name | VARCHAR2 (4) | ENTITY | reporting_name |
1168 - Source Number | INTEGER | ENTITY | src_intfc_inst |
1857 – State code | CHAR (4) | ENTITY | state_code |
1860 | CHAR (30) | ENTITY | style |
9518 | NUMBER (28,12) | ENTITY | termination_market_value |
1320 | DATE | ENTITY | user_date1 |
1321 | DATE | ENTITY | user_date2 |
1322 | DATE | ENTITY | user_date3 |
1319 | DATE | ENTITY | user_date4 |
1895 | DATE | ENTITY | user_date5 |
1862 | VARCHAR2 (10) | ENTITY | user_field1 |
1340 | VARCHAR2 (10) | ENTITY | user_field11 |
1867 | VARCHAR2 (10) | ENTITY | user_field15 |
1868 | VARCHAR2 (10) | ENTITY | user_field16 |
1642 | VARCHAR2 (10) | ENTITY | user_field17 |
1643 | VARCHAR2 (10) | ENTITY | user_field18 |
1856 | VARCHAR2 (10) | ENTITY | user_field2 |
1649 | VARCHAR2 (20) | ENTITY | user_field24 |
1650 | VARCHAR2 (20) | ENTITY | user_field25 |
1858 | VARCHAR2 (10) | ENTITY | user_field3 |
1853 | VARCHAR2 (10) | ENTITY | user_field4 |
1854 | VARCHAR2 (10) | ENTITY | user_field5 |
1324 | NUMBER (28,12) | ENTITY | user_float1 |
193 | NUMBER (28,12) | ENTITY | user_float2 |
1326 | NUMBER (28,12) | ENTITY | user_float3 |
1327 | NUMBER (28,12) | ENTITY | user_float4 |
1328 | NUMBER (28,12) | ENTITY | user_float5 |
1329 | NUMBER (28,12) | ENTITY | user_float6 |
1332 | NUMBER (28,12) | ENTITY | user_float7 |
1330 | NUMBER (28,12) | ENTITY | user_float8 |
2449 – Annual expense waiver ratio | NUMBER(28,12) | ENTITY_EXTENSION | mfp_ann_expwaiver |
2436 – Override for convertible return frequency | CHAR(2) | ENTITY_EXTENSION | mfp_conv_frequency |
2437 – Convertible return parent id | CHAR(8) | ENTITY_EXTENSION | mfp_conv_parent_id |
2438 – Override for convertible return period | NUMBER(38) | ENTITY_EXTENSION | mfp_conv_period |
2439 – Derived reinvest date behavior for distributions | VARCHAR2(10) | ENTITY_EXTENSION | mfp_distribution_type |
2448 – Annual expense ratio | NUMBER(28,12) | ENTITY_EXTENSION | mfp_exp_ratio |
2440 – Fixed date for convertible return crossover | DATE | ENTITY_EXTENSION | mfp_fixed_conv_date |
2450 – Override gross return accrual methodology | VARCHAR2(2) | ENTITY_EXTENSION | mfp_gr_accrual |
2441 – Open and closed end fund flag | VARCHAR2(10) | ENTITY_EXTENSION | mfp_open_closed_flag |
2443 – Calendar for non business records and income spreading | NUMBER(38) | ENTITY_EXTENSION | mfp_spread_calendar |
2444 – Override for income spreading methodology | VARCHAR2(3) | ENTITY_EXTENSION | mfp_spread_method |
2445 – Synthetic inception | DATE | ENTITY_EXTENSION | mfp_syn_inception_date |
2446 – Synthetic parent ID | CHAR(8) | ENTITY_EXTENSION | mfp_syn_parent_id |
2447 – Tax/tax–exempt income flag | VARCHAR2(10) | ENTITY_EXTENSION | mfp_taxable_income_flag |
2442 – Cumulative split ratio for retail performance | NUMBER(38,12) | ENTITY_EXTENSION | mfp_split_ratio |
11506 – Amount of the redemption fee | VARCHAR2 (100) | ENTITY_EXTENSION | redemption_fee |
11505 – Frequency basis for which a redemption fee is valid | VARCHAR2 (100) | ENTITY_EXTENSION | redemption_frequency |
11504 – Period of time for which a redemption fee is valid | VARCHAR2 (100) | ENTITY_EXTENSION | redemption_period |
1106 – Information last updated | DATE | ENTITY/ENTITY_EXTENSION | upd_date |
944 – Source or userid last updating entity | VARCHAR2 (8) | ENTITY/ENTITY_EXTENSION | upd_user |
8206 | VARCHAR2 (20) | ENTITY_EXTENSION | user_char71 |
8207 | VARCHAR2 (20) | ENTITY_EXTENSION | user_char72 |
8200 | VARCHAR2 (100) | ENTITY_EXTENSION | user_desc1 |
5698 | NUMBER (28,12) | ENTITY_EXTENSION | user_float2 |
4124 | VARCHAR2 (3) | ENTITY_EXTENSION | user_ind1 |
4125 | VARCHAR2 (3) | ENTITY_EXTENSION | user_ind2 |
5663 | VARCHAR2 (50) | ENTITY_EXTENSION | user_sector1 |
8201 | CHAR | user_reserved_8201 | |
5664 | VARCHAR2 (50) | ENTITY_EXTENSION | user_sector2 |
8200 | VARCHAR2 (100) | ENTITY_EXTENSION | user_desc1 |