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To manually book an open trade for a credit default swap:

  1. In the Accounting Center, in the left navigation pane, click Transactions > Trades.
    You see the Book Trade workspace.
  2. Complete the options in the Search Details pane and click Search.
    You see the search results based on the criteria you selected.
  3. Select the row with the security you want to trade.
  4. On the Book Trade tab, in the Actions group, click Action Rules, point to Open, and then click Open Swap Contract.
    You see the Open Credit Default Swap panel.
  5. Complete the options on the Open Credit Default Swap panel.
  6. Click Submit.
    Once the trade is booked, it follows all core accounting processes.
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