To manually book an open trade for a credit default swap:
- In the Accounting Center, in the left navigation pane, click Transactions > Trades > Book Trade/Rebook Trade > Book Trade.
You see the Book Trade workspace. - Complete the options in the Search Details pane and click Search.
You see the search results based on the criteria you selected. - Select the row with the security you want to trade.
- 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. - Complete the options on the Open Credit Default Swap panel.
- Click Submit.
Once the trade is booked, it follows all core accounting processes.
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