Generate Prepayment Analysis Report Data

In the Generate Prepayment Analysis panel, you can identify the entities and assets for which you want to perform prepayment analysis and generate the data used for the Prepayment Analysis report.

To generate Prepayment Analysis report data:

  1. In Accounting Center, in the left navigation pane, click Processing & Exceptions > Global Processes > Prepayment Analysis > Generate Prepayment Analysis.
    You see the Generate Prepayment Analysis panel.

  2. Complete the options on the Generate Prepayment Analysis panel.

  3. Click Submit.
    You see the status of the event loopbacks in the Loopbacks pane at the bottom of the panel. The system creates report data for the pending third-party cash flows and the pending prepayment time series data associated with the entities and securities that meet your criteria.

Generate Prepayment Analysis Panel Options

A definition of the options on the Generate Prepayment Analysis panel follows.

Option

Tag

Description

Option

Tag

Description

Generate Prepayment Series Report Data

 

 

Select Query Option

2283

Allows you to show/hide additional query filters. The system displays additional fields depending on your selection. Options include:

  • One Entity/One Security

  • One Entity/All Securities

  • Entity List/One Security

  • Entity List/All Securities

  • All Entities/One Security

Entity Information

 

 

Entity ID

1163

Specifies the unique identifier of the entity. This field appears if you set the Select Query Option field to a value for one entity.

Entity Name

1164

Specifies the name of the entity. This field appears if you set the Select Query Option field to a value for one entity.

Entity List Name

1104

Specifies the name of the entity list. This field appears if you set the Select Query Option field to a value for an entity list.

Entity List ID

1091

Specifies the unique identifier of the entity list. This field appears if you set the Select Query Option field to a value for an entity list.

Accounting Basis

21

Specifies the accounting basis for the entity.

Security Information

 

 

Asset ID

14

Specifies the identification number of the primary asset ID type for the security. This field appears if you set the Select Query Option field to a value for one security.

Issue Name

961

Specifies the name of the security. This field appears if you set the Select Query Option field to a value for one security.

Security Alias

10

Displays the asset identifier of the selected security. This field appears if you set the Select Query Option field to a value for one security.

Earnings Date

 

 

Earn Through Date

461

Specifies the effective date of the earnings/income data.

Position's First Effective Date

155

Displays the position's first effective date.

Retrospective Amortization

 

 

View Cashflows

9969

Indicates whether to show the cash flows used to calculate the retrospective yield in the report results. Options include No (Default) and Yes.

Entity Attributes

 

 

Partition

95

Displays the entity partition code. This field appears if you set the Select Query Option field for an entity list or all entities.

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