The Call and Put data files must be delivered to both the CALL PUT folder and the CORPORATE ACTION folder. Sink schedules must be delivered to the SINK SCHEDULE folder for processing. The stored procedure automatically creates a Corporate Action. Changes to a sink schedule create a Cancel Corporate Action announcement for the old record and insert a new Corporate Action announcement.
Call, put, and sink schedules are loaded using the following streams:
- eagle_default_in_csv_callput
- eagle_default_in_star_callput
Custom sink schedules are loaded using the following streams:
- eagle_default_in_csv_sinkschedule
- eagle_default_in_star_sinkschedule
Required data fields as well as panels, binds, and stored procedures for the Call, Put, and Sink Schedules stream are described in the following pages.
To review the results of processing in the database, use Issue Viewer under the Reference category in Eagle Accounting, or use the List Schedule query.
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