About Position Reconciliation
The position reconciliation process within Eagle Accounting is managed by the Position Recon console and supporting message streams that match and reconcile positions, ledger balances, and lots from different sources. The Position Recon console directs the matching and reconciliation of records for a given business date. You can reconcile positions for different data sources on the Eagle data warehouse. Or, reconcile traded/settled positions on the ESTAR database to the Eagle data warehouse. After reconciliation, breaks are identified, aged, and resolved within the context of the client workflow. You can generate reconciliation reports for viewing and distribution to downstream systems.
To access the Position Recon console:
From the Accounting Center window, select Reconciliation in the left navigation.
Click Position Recon.
Click Administrative.
Double click Position Recon Console.
You see the Position Recon console.
Position Recon Console Options
The following are the key options on the Position Recon console toolbar.
Option | Description |
---|---|
File | Allows you to print query results. Options include:
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Find | Allows you to search any column result for a matching character string value. |
Tools | Allows you to submit message streams and export query results. Options include:
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View | Allows you to customize the view of query results. You must select a Query Results tab to enable this option. Option include:
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Window | Allows you to navigate across open windows. Or, launch Eagle applications, such as Cash Recon, Trade Recon, Issue Viewer, Book Trade, and Rebook Trade. Options include:
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Help | Displays the application build server and version information. |
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