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In the Add Entity to Group Expense panel, you can add an entity/accounting basis to an existing group expense or can change expense information for an entity that is part of a group expense. The following are the options in the Add Entity to Group Expense panel.
 

Option

Tag

Description

Fund Information



Select Type of Group Expense Change

7102

Indicates whether you adding or updating entity level expense details for an existing expense group. Options include:

  • Add New Entity to a Group Expense. Adds entity level expense details for an expense group.
  • Change Existing Entity in a Group Expense. Updates existing entity level expense details for an expense group.

Entity ID

1163

Specifies the entity identifier for an entity that belongs to an expense group.

Entity Name

1164

Specifies the entity name for an entity that belongs to an expense group.

Entity Type

1105

Displays the type of entity you are adding or updating for the expense group. For example, PORT.

Accounting Basis

21

Specifies the accounting basis for the expense group's entity.

Share Class

34

Displays the share class of the entity, a value of TF.

Process Center

4896

Specifies the process center of the entity. Each entity in the group expense has the same process center as the expense group entity.

Base Currency

86

Displays the base currency of the entity. Each entity in the group expense has the same base currency as the expense group entity, and expenses accrue in that currency.

Expense Information



Expense Type

2289

Indicates whether you are adding or changing entity level expense details based on a fixed or variable expense. Additional fields appear based on the value you select. Options include:

  • Fixed Group Expense
  • Variable Group Expense

Group Expense ID

1149

Specifies the entity identifier for the expense group. An expense group is a "shell" entity used in group level expense processing that has an entity type of EXPG. This field appears when you add a new entity to a group expense.

Group Expense Name

9744

Specifies the entity name for the expense group. This field appears when you add a new entity to a group expense.

Primary Expense Account Name

2301

Specifies the account for the group expense that you are applying to the entity. For a fixed group expense, specifies the receivable/account in which to post the accruals for the group level expense. For a variable group expense, specifies a valid expense account for the group level expense. This field appears when you add a new entity to a group expense.

Primary Expense Account Name

2299

Specifies the account for the group expense that you are updating for the entity. For a fixed group expense, specifies the receivable/account in which to post the accruals for the group level expense. For a variable group expense, specifies a valid expense account for the group level expense. This field appears when you change an existing entity in a group expense.

Earned Thru Date

461

Displays the earned thru date for the group expense.

Original Effective Date

71

Displays the original effective date for the group expense.

Effective Date

220

Specifies the begin date for the entity level expense. This field appears if you are adding an entity level expense.

Expense End Date

221

Specifies the end date for the entity level expense. You cannot change this value if you are changing an entity level expense.

Effective Date of Change

35

Specifies the end date for the entity level expense that you are changing. This field appears if you are changing an entity level expense.

NAV Component

3256

Determines the value the system uses to calculate the expense accrual for the entity level expense. Options include:

  • Prior Day Total Net Assets
  • Adjusted Net Assets
  • Average Net Assets
  • Current Day's Settled Shares
  • Current Day's Outstanding Shares
  • Ledger Based NAV
  • Used Defined NAV 

Expense Rule Name

11689

Specifies the name of the adjusted NAV expense rule for the variable expense. This field appears if the expense's Share Class value is TF, and the NAV Component value is Prior Day Total Net Assets, Adjusted Net Assets, Average Net Assets, or Ledger Based NAV. For more information, see Use Adjusted NAVs to Calculate Variable Expenses.

Avg Net Asset Freq

3261

Specifies how the system determines the average net asset value in its accrual calculation. This field appears if you set the NAV Component field to Average Net Assets. Options include:

  • Weekly
  • Monthly
  • Quarterly
  • Semi Annually
  • Annually

TNA Use Prior Period

3257

Determines the value the system uses for the average net asset calculation with regards to prior year end total net assets and the current year. This field appears if you set the NAV Component field to Average Net Assets. Options include:

  • Always include PY ending TNA in average net asset calc. The system always includes the total net assets (TNA) from the last day of the prior year when calculating the average net assets for the current year.
  • Use PY ending TNA only once in average net asset calc. The system only includes the total net assets from the last day of the prior year when calculating the average net assets for the first time in the current year (that is, the first business day). After the first reimbursement is triggered, the system no longer includes the prior year's final TNA when calculating the average net assets. Only current year TNA is used when calculating average net assets.

Avg Net Asset Calc Start Date

991

Specifies if the system can use NAVs from dates earlier than the Accrual Beginning Date field value when calculating variable expenses that use average net assets. This field appears if you set the NAV Component field to Average Net Assets. Options include:

  • Based on Accrual Beginning Date. The system includes NAVs based on the Accrual Beginning Date field when calculating an average. For example, if the accrual begins on January 1, 2014, the system starts with the NAV from December 31, 2013.
  • Based on Calculation Frequency Period. The system includes those NAVs in the NAV table that fall within the Avg Net Asset Freq field period when calculating an average, even when those NAVs have dates earlier than that specified in the Accrual Beginning Date field.

Fee Currency

85

Displays the local currency in which the asset is denominated.

Calendar/Business Days

824

Displays whether business or calendar days are used. This field is populated by information stored at the entity level.

Expense Group

2993

Displays the entity identifier for the expense group

Fee Amount

3201

Displays the amount you want to accrue for the fixed group level expense.

Tier Id

3255

Displays the expense tier for the variable group expense.

Minimum Fee Amount

3254

Displays the minimum fee applied if a daily accrual fails to meet the minimum for the group level variable expense.

Minimum Fee Frequency

3253

Displays the frequency of the minimum amount for the group level variable expense.

Maximum Fee

11451

Displays the maximum fee applied if a daily accrual exceeds the maximum for the group level variable expense.

Max Fee Frequency

11578

Displays the frequency of the maximum amount for the group level variable expense.

Minimum/Maximum Fee Type

11870

Indicates whether the system calculates the minimum and/or maximum fee amounts for the group expense, if specified, at the group level or at the entity level. Options include:

  • Group Fee. The minimum and maximum amounts apply to the group.
  • Participant Fee. The minimum and maximum amounts apply to the fund.

Waiver Information



Expense Limit/Cap

4754

Displays the percentage of a variable expense to waive during the accrual process instead of accruing the full amount and reimbursing the fund if expenses over accrue during the accrual period.

Waiver Expiration Date

4755

Displays the waiver expiration date for the variable expense.

Waiver Account

4756

Specifies the waiver account to use for the entity level variable expense.

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