Recon Cash Event Panel Options

You can use a Cash Recon panel to submit events to match cash activity. You can select various options based on the business requirements for your cash activity reconciliation. See the Match Cash Activity page for details about using these panels.

The following are the key options when using the Cash Recon Event panel.

Option

Tag

Description

Option

Tag

Description

Run Cash Matching Process

 

 

Tables Option

989

Displays the location of the cash activity records for reconciliation.
Options include:

  • Warehouse. Specifies the reconciliation of warehouse records to warehouse records. This is the default option.

  • Traded. Specifies the reconciliation of ESTAR traded cash activity to warehouse records.

  • Settled. Specifies the reconciliation of ESTAR settled cash activity to warehouse records.

  • Warehouse Security Level. Specifies the reconciliation of warehouse records to warehouse records at the security level.

  • Traded Security Level. Specifies the reconciliation of ESTAR traded cash activity to the warehouse records at the security level.

  • Settled Security Level. Specifies the reconciliation of ESTAR settled cash activity to the warehouse records at the security level.

Left Source

1102

Specifies the data source or source list to use for the left match.

Right Source

1114

Specifies the data source or source list to use for the right match.

Entity Name

1164

Specifies the name of the entity to match on ledger balances.

Entity ID / Composite ID

1163

Specifies the entity ID or composite entity ID to match on ledger balances.

Post Date

30

Specifies the post date, trade date, or settlement date to filter cash activity for the Tables Option you selected.

Tolerance Rule ID

4256

Specifies the tolerance rule with the filters to apply for cash activity reconciliation.

Unmatch Only List

7090

Indicates whether to store only unmatched or out of balance records to the Exception tables to conserve table space.

Transaction Status

54

Specifies whether to use only traded or settled records.

STAR Direct Flag List

7050

Indicates whether to consider only the cash activity records flagged by S2P.

Date Tolerance

7250

Specifies the number of days allowed for otherwise matching records to be considered matched.

Txn Amount Tolerance

7660

Specifies the amount allowed for base transaction amounts to differ and still constitute a cash match. Default is 0.25.

Txn Amount Local Tolerance

7661

Specifies the amount allowed for local transaction amounts to differ and still constitute a cash match. Default is 0.25.

Txn Units Tolerance

7662

Specifies the amount allowed for transaction units to differ and still constitute a cash match. Default is 0.25.

User Float1 Tolerance

1323

Specifies the tolerance amount allowed for User Float1.

User Float2 Tolerance

1324

Specifies the tolerance amount allowed for User Float2.

User Float3 Tolerance

1325

Specifies the tolerance amount allowed for User Float3.

User Float4 Tolerance

1326

Specifies the tolerance amount allowed for User Float4.

User Float5 Tolerance

1327

Specifies the tolerance amount allowed for User Float5.

User Float6 Tolerance

1328

Specifies the tolerance amount allowed for User Float6.

User Char1 Tolerance Switch

7051

Indicates whether to reconcile for matching User Char1 values.

User Char2 Tolerance Switch

7052

Indicates whether to reconcile for matching User Char2 values.

User Char3 Tolerance Switch

7053

Indicates whether to reconcile for matching User Char3 values.

User Char4 Tolerance Switch

7054

Indicates whether to reconcile for matching User Char4 values.

User Char5 Tolerance Switch

7055

Indicates whether to reconcile for matching User Char5 values.

User Char6 Tolerance Switch

7056

Indicates whether to reconcile for matching User Char6 values.

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