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Open Transaction Information:

  • Buy to Open
  • Trade Date 01/04/02
  • Entity is GBP based
  • Security is USD based
  • Security Trades Flat

Option

Value

Broker

Eagle Investment Systems

Trade Date

01/04/02

Settlement Date

01/04//02

Price Multiplier

.01

Quantity Scale

1.00

Quantity

1,000,000

Price

0.09575000

Spot Exchange Rate

1.455700000000 (GBP to USD) 01/04/02

Local Premium Value = (1,000,000 * 1.00) * (0.09575000 * .01) = 957.5 USD

Base Premium Value = 957.50 / 1.44557 = 657.76 GBP

General Ledger Entries executed by Eagle Accounting on 01/04/02 follow.

Debit/Credit

G/L Account Name

Amount & Currency

Debit

Cost of Investments (Local)

957.50 USD

Credit

Payable for Investments Purchased (Local)

957.50 USD




Debit

Cost of Investments (Base)

657.76 GBP

Credit

Payable for Investments Purchased (Base)

657.76 GBP


When earnings processing is invoked, Eagle Accounting posts to the following accounts.

Debit/Credit

G/L Account Name

G/L Account Number

Debit

Cap/Floor Amortization Expense

1002000100

Credit

Cost of Investments

1010000100

Debit

Receivable For Cap/Floor Interest

1007000590

Credit

Cap/Floor Interest Income

4001000190


Local Currency = Settle Currency ≠ Base Currency:

Debit/Credit

G/L Account Name

G/L Account Number

Debit

Cap/Floor Amortization Expense (Local)

1002000100

Credit

Cost of Investments (Local)

1010000100

Debit

Receivable For Cap/Floor Interest (Local)

1007000590

Credit

Cap/Floor Interest Income (Local)

4001000190

Debit

Cap/Floor Amortization Expense (Base)

1002000100

Credit

Cost of Investments (Base)

1010000100

Debit

Receivable For Cap/Floor Interest (Base)

1007000590

Credit

Cap/Floor Interest Income (Base)

4001000190

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