In the Run an Interportfolio Transfer panel, you can manually transfer a position and/or lots for a single security from one entity to another entity. The system transfers quantity and cost. It does not transfer cash.
To transfer a security to another entity manually:
- From any Eagle window, click the Eagle Navigator button to access the Eagle Navigator.
- Enter Interportfolio Transfer in the Start Search text box.
- Click the Interportfolio Transfer (Accounting Center) link to access the panel.
You see the Interportfolio Transfer panel. - Complete the options in the Interportfolio Transfer panel.
- Click Submit.
You have transferred a single security from one entity to another entity. - Close the Interportfolio Transfer bottom tab to return to the Accounting Center.
Interportfolio Transfer Panel Options
The following are the options in the Interportfolio Transfer panel.
Option | Tag | Description |
---|---|---|
Origin Entity Information | ||
Entity Name | 1164 | Specifies the name of the origin entity, also called the From entity. |
Entity ID | 1163 | Specifies the unique identifier of the origin entity. |
Accounting Basis | 21 | Displays the primary accounting basis of the origin entity. |
Base Currency | 86 | Displays the base currency of the origin entity. |
Recipient Entity Information | ||
Entity Name | 1084 | Specifies the name of the recipient entity, also called the To entity. The recipient entity must have the same number of accounting bases as the origin entity. |
Entity ID | 301 | Specifies the unique identifier of the recipient entity. |
Accounting Basis | 309 | Displays the primary accounting basis of the recipient entity. The origin entity and the recipient entity must have the same number of accounting bases. |
Base Currency | 320 | Displays the base currency of the recipient entity. |
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Acquisition Type | 2425 | Identifies an inheritance or gift that you are transferring to another account. This is a brokerage election. Options include:
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Transfer Method | 1872 | Determines the method used to value the position for the recipient entity. Options include:
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Quantity/Ratio | 739 | Determines how to define the transfer amount. Options include:
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Trade Date | 35 | Specifies the effective date of the trade. The trade date cannot be greater than the post date, accounting date, or settlement date. |
Accounting Date | 36 | Specifies the date the trade is reported and has an effect on the entity's holdings and cash balances. The accounting date must be greater than the trade date. |
Monthly Accounting Date | 4733 | Displays the month end accounting date. |
Settlement Date | 37 | Specifies the date the trade is settled. |
Event Type | 55 | Display the business intent of the transaction. For example, FNDSPLTMRG. |
Long/Short Indicator | 15 | Indicates whether the position you are transferring is long or short. Options include Long or Short. |
Issue Name | 961 | Specifies the name of the security. |
Ticker | 13 | Specifies the system of letters used to uniquely identify a security. |
Xref Type | 1234 | Specifies the cross reference security type, such as SEDOL, CUSIP, and so on. |
Xref ID | 1233 | Specifies the cross reference security identifier. |
Quantity Type | 12 | Displays the quantity generally accepted as a standard for exchange, such as shares, par, units, and contracts. |
Instrument Type | 11 | Displays the instrument type. |
Security Type | 82 | Displays the security type of the asset. |
Issue Currency | 85 | Specifies the currency in which the security is priced. |
Position Original Face | 109 | Displays the original quantity of the position. |
Position Quantity | 122 | Displays the current quantity of the position. |
Original Face | 41 | Specifies the original face value of the security. |
Current Factor | 91 | Specifies the paydown factor for the mortgage backed security. |
Quantity | 40 | Specifies the transfer quantity of the security. The value must be greater than zero. This field appears if you set the Quantity/Ratio field to a value of Quantity. |
Quantity Ratio | 61 | Specifies the transfer quantity ratio of the security as a percentage. This field appears if you set the Quantity/Ratio field to a value of Quantity Ratio. A value of 1.00 moves 100% of an asset. |
Price | 319 | Specifies the market price. For inheritances, identifies the market price on the date of death. |
Local to Origin Base FX Rate | 87 | Specifies the foreign exchange rate for the security's local currency to the origin entity's base currency. |
Local to Recipient Base FX Rate | 322 | Displays the foreign exchange rate for the security's local currency to the recipient entity's base currency. |
Lot Selection Method | 27 | Specifies the lot selection method the system uses to relieve (sell) lots of a security held by the entity. Options include:
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Prorata Noncredit Loss Flag | 16157 | Indicates whether any noncredit loss associated with partial interportfolio transfers on taxable transactions is reversed prorata. This field appears only when you transfer partial quantity. Options include:
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Gift/Inheritance Transfer Fields | ||
Ownership Transfer Date | 2426 | Specifies the date of death when you transfer inherited funds or specifies the gift date for gift transfers. |
Fair Market Value Flag | 2427 | Indicates whether to track fair market values. This field appears if you set the Acquisition Type field (tag 2425) to a value of Gift. Options include Yes or No. |
Fair Market Value Price | 2452 | Specifies the fair market for the gift. You can enter zero as a fair market value price. This field appears if you set the Fair Market Value Flag field (tag 2427) to a value of Yes. |
Fair Market Value Local | 2428 | Specifies the fair market value local. This field appears if you set the Fair Market Value Flag field (tag 2427) to a value of Yes. |
Fair Market Value Base | 2429 | Displays the fair market value base. This field appears if you set the Fair Market Value Flag field (tag 2427) to a value of Yes. |
Other Information | ||
Retro Indicator | 11018 | Indicates whether to trigger retrospective amortization in the receiving fund. This field appears only for transfers of debt securities excluding factor based securities. Options include Yes and No. |
Transaction Notes | 56 | Specifies user defined information about the transaction. |
Source Trade Ticket Number | 761 | Specifies the trade ticket identification number. The system uses it during processing. For example, IDLOT close or cancel events uses this number to locate an open lot. |
Event Sub Priority | 3961 | Specifies the corporate action sub priority which determines how the actions are processed when there are multiple transfers in a single day. |
User Char 1 | 1887 | Specifies one of three user defined fields. |
User Char 2 | 1888 | Specifies one of three user defined fields. |
User Char 3 | 1889 | Specifies one of three user defined fields. |
PACE Performance Fields | ||
Performance Price | 4598 | Specifies the price for use by Eagle's Performance solution. This field appears if you select a Transfer Method other than Market or Market (Retain Lot Structure). |
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