Temenos Transact
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Temenos Transact Services

Accounting Unit (AU)

S.No Job Name Description of Job Batch name Classification
1 AU.INTERNAL.ACCOUNT.CLOSURE Closes internal accounts in accounting companies AU.INTERNAL.ACCOUNT.CLOSURE FIN

Accounts (AC)

S.No Job Name Description of Job Batch Name Classification
1 AC.ACCOUNTING.SERVICE Maintains the unauthenticated entries at account level based on the AC.UNAUTH.ENTRY or AC.FWD.UNAU.ENTRY file AC.ACCOUNTING.SERVICE FIN
2 AC.CUS.BALANCE.REPORTING.TAKEON Loads the historical account statement data to read only database for customer reporting enquiries using component service AC.CUS.BALANCE.REPORTING.TAKEON FIN
3 AC.HVT.MERGE.SERVICE Merges the trigger records and update the corresponding account related tables AC.HVT.MERGE.SERVICE FIN
4 AC.INTEG.CAL.CHECK.SERVICE Processes the AC.INTEGRITY.CAL.DATA record using check routines attached in the batch record and deletes the same after procesing AC.INTEG.CAL.CHECK.SERVICE FIN
5 AC.INTEG.PURGE.CAL.SERVICE Deletes the list of AC.INTEG.CAL.SUMMARY records dated within the period defined in the batch details of the service AC.INTEG.PURGE.CAL.SERVICE FIN
6 AC.INTEGRITY.CHECK.SERVICE Processes the AC.INTEGRITY.ACCOUNTING record using check routines attached in the batch record and deletes the same after procesing AC.INTEGRITY.CHECK.SERVICE FIN
7 AC.LOCKED.EVENTS.TAKEON Exposes the existing locked events table to Data Framework related tables AC.LOCKED.EVENTS.TAKEON FIN
8 AC.NSF.REVALUATION.SERVICE Revaluates the NSF charges posted for back value dated credit entry AC.NSF.REVALUATION.SERVICE FIN
9 AC.PROCESS.ENTRY.EVENT.SERVICE Determine the exit points and triggers IF points to stream data to data events table AC.PROCESS.ENTRY.EVENT.SERVICE FIN
10 AC.PROCESS.TRANS.DATA Processes AC.TRANS.DATA with respect to Trans data subscription AC.PROCESS.TRANS.DATA FIN
11 AC.STMT.DELIVERY.SERVICE Picks the details from service detail workfile or handoff and generates the delivery messages AC.STMT.DELIVERY.SERVICE FIN
12 AC.UPDATE.LOCKED.SERVICE Service routine to reinstate the limit amount based on the account locked amount attached to it with respect to setup in ACCOUNT.PARAMETER AC.UPDATE.LOCKED.SERVICE FIN
20 CHEQUE.PROCESS Updates the cheque batch correctly on verifying the CHEQUE.CHANGE record CHEQUE.PROCESS FIN
34 AC.UPDATE.LOCKED.SERVICE Service routine that reinstates the limit amount based on the account locked amount attached to it with respect to setup in ACCOUNT.PARAMETER AC.UPDATE.LOCKED.SERVICE CUS

All in One (AZ)

S.No Job Name Description of Job Batch name Classification

1

 

AZ.PROCESS.CC.SCH Calculate the principal (CC) amounts for credit cards on BILL.CLOSE .Selection File:CARD.BILL.CLOSE.DATE. Control list: Banks current date to next working day AIO.ACC.EOD FIN
2 AZ.PROCESS.CI.SCH Calculates interest(CI) for the next repayment date in credit cards on the repayment date. Selection File:CARD.REPAYMENT.DATE. Control list: After last working day to bank's current date AIO.ACC.EOD FIN
3 AZ.PRE.PROCESS.SCH Processes rate changes for contracts linked to Basic Interest key and also disbursements of loans . Selection File: AZ.ACCOUNT AIO.ACC.EOD FIN
4 AZ.PRE.PROCESS.SCH Processes rate changes for contracts linked to Basic Interest key and also disbursements of loans . Selection File: AZ.ACCOUNT AIO.ACC.SOD FIN
5 AZ.FIND.LATE.PAYMENT.SOD Finds the deferred payment for Savings plan deposits during Split month end .Selection file:AZ.DEPOSIT.LIST. Control list: From 1st of Month to Last calender day prior to Bank's current date AIO.ACC.SOD FIN
6 AZ.PURGE.TELLER.DEFAULT Purges TELLER.DEFAULT records created for AZ contract and are used in Teller transactions. Selection file: TELLER.DEFAULT AIO.ACC.EOD FIN
7 AZ.POST.PROCESS.SCH Processes Delivery limit updation and cycling of 'R' schedules for AZ loans at end of day and cycling of 'R' schedules during Start of day. Selection File: AZ.ACCOUNT. AIO.ACC.EOD FIN
8 AZ.POST.PROCESS.SCH Processes Delivery limit updation and cycling of 'R' schedules for AZ loans at end of day and cycling of 'R' schedules during Start of day. Selection File: AZ.ACCOUNT. AIO.ACC.SOD FIN
9 AZ.CARD.PD.EOD Creates PD record for AZ Credit Card on repayment date Selection file: CARD.REPAYMENT.DATE Control list:After last working day to current Bank date AIO.ACC.EOD FIN
10 AZ.SOD.PROCESS.SCH Processes Schedules PBCIN and A for AZ contracts during split month end . Selection file: AZ.SCHEDULES or AZ.REPAY.ACCOUNT (COB.ASP is flagged ). Control list: First day of month to last calender day prior to Period end AIO.ACC.SOD FIN
11 AZ.FIND.LATE.PAYMENT Finds the deferred payment for Savings plan deposits .Selection file: AZ.DEPOSIT.LIST. Control list: Bank's current date to Period end AIO.ACC.EOD FIN
12 AZ.PURGE.LIST.FILES Purges processed internal list files. Selection file :AZ.DEPOSIT.LISTAZ.INTEREST.WORK. AIO.ACC.SOD FIN
13 AZ.PROCESS.MATURITY Maturity schedule processing for AZ loans and deposits during Start of day. Selection file: AZ.ACCOUNT AIO.ACC.SOD FIN
14 AZ.EOD.PROCESS.SCH Processes Schedules PBCIN and A for AZ contracts. Selection file:AZ.SCHEDULES or AZ.REPAY.ACCOUNT (COB.ASP is flagged ). Control list: Current Bank's date to Period end AIO.ACC.EOD FIN
15 AZ.UNAUTH.PROCESSING Job handles AZ generic unauth processing for deleting the AZ record and related applications FT/TELLER linked to AZ contracts. Selection file: AZ.ACCOUNT.WORK AZ.ACCOUNT$NAU. AIO.ACC.EOD FIN
16 AZ.COLLECT.PENAL.CHARGES Collect penalty charges which are due to be collected today for Savings plan. Selection file: AZ.ACCT.BAL. Control list:Last working day to current bank date AIO.ACC.EOD FIN

Arrangement Architecture (AA)

S.No Job Name Description of Job Batch name Classification
1 AA.AGENT.COMMISSION.SERVICE Processes agent commission BNK/AA.AGENT.COMMISSION.SERVICE FIN
2 AA.AGENT.SERVICE.PROCESS Hands over request to process commission to AA.AGENT.COMMISSION.SERVICE BNK/AA.EOD.PROCESS FIN
BNK/AA.INTRADAY.PROCESS FIN
3 AA.ARCHIVE.SERVICE Moves activity history, bill details and account details to corresponding .HIST tables based on threshold and retains values defined in AA.PARAMETER BNK/AA.ARCHIVE.SERVICE FIN
4 AA.ARR.PRODUCT.TRACKER Tracks product changes and applies the corresponding change to existing arrangements if the corresponding property is set for tracking BNK/AA.ARR.PRODUCT.TRACKER FIN
BNK/AA.EOD.PROCESS FIN
5 AA.ARR.TRACKER.SERVICE Tracks the changes done in the parent and applies in inherited arrangement, if an arrangement is inherited from another arrangement  BNK/AA.ARR.TRACKER.SERVICE FIN
BNK/AA.EOD.PROCESS FIN
6 AA.CHARGE.HANDOFF.PROCESS Processes the non-financial arrangement charge handoff to financial arrangement (Billing and Accounting) side based on the charge details stored in the AA.CHARGE.HANDOFF.DETAILS file BNK/AA.CHARGE.HANDOFF.PROCESS FIN
7 AA.COB.PAY.IN.OUT Processes all non-bulk mode AA payments made in end of day BNK/AA.EOD.PROCESS FIN
BNK/AA.INTRADAY.PROCESS FIN
BNK/AA.SOD.PROCESS FIN
8 AA.COLLECT.CHARGE.PROCESS Processes charge based on non-sufficient fund configuration BNK/AA.COLLECT.CHARGE.PROCESS FIN
9 AA.CRA.SERVICE Fetches the arrangement for which redundant relation codes have to be removed BNK/AA.CRA.SERVICE FIN
BNK/AA.EOD.PROCESS FIN
10 AA.CRA.STATIC.SERVICE Removes CRA customer whose relation codes are removed in CUSTOMER application BNK/AA.EOD.PROCESS FIN
11 AA.CREATE.NAU.ACTIVITIES Captures the AAA that were deleted during AA.DELETE.NAU.ACTIVITIES BNK/AA.INTRADAY.PROCESS FIN
BNK/AA.SOD.PROCESS FIN
12 AA.DELETE.NAU.ACTIVITIES AAA that are in INAU are deleted and handed over to the SOD JOB AA.CREATE.NAU.ACTIVITIES to post back again BNK/AA.EOD.PROCESS FIN
BNK/AA.INTRADAY.PROCESS FIN
13 AA.FINAL.SERVICE.PROCESS Proccess the arrangements that belong to agent and rewards BNK/AA.EOD.PROCESS FIN
BNK/AA.INTRADAY.PROCESS FIN
BNK/AA.SOD.PROCESS FIN
14 AA.HOLIDAY.SERVICE Reschedules the scheduled activities when holiday table is amended to define holiday BNK/AA.HOLIDAY.SERVICE FIN
15 AA.INTEGRITY.CAPTURE.SERVICE Induces bug in test contracts by modifying the values using AA.INTEGRITY.CAPTURE template to test that the integrity tool that reports all problematic contracts in AA.INTEGRITY.REPORT 
Note: This service strictly cannot be used in production environments.
BNK/AA.INTEGRITY.CAPTURE.SERVICE FIN
16 AA.INTEGRITY.CHECK Checks every arrangement by comparing various tables against the balances and reports problematic arrangements BNK/AA.INTEGRITY.CHECK FIN
BNK/AA.SYSTEM.CHECKS FIN
17 AA.LIMIT.ACCOUNT.PROCESS Handles processing of all scheduled activities for Arrangements of  Limit Account type BNK/AA.SYSTEM.END.OF.DAY FIN
18 AA.ONLINE.PAY.IN.OUT Processes all non-bulk mode online AA payments BNK/AA.ONLINE.PAY.IN.OUT FIN
19 AA.ONLINE.SERVICE Processes online accruals and capitailisation so as to reduce cob timing based on setup in AA.ACCRUAL.FREQUENCY for accruals and payment schedule condition for capitalisation BNK/AA.ONLINE.SERVICE FIN
20 AA.PROCESS.ACTIVITIES Triggers Arrangement Activity from non-AA applications BNK/AA.PROCESS.ACTIVITIES FIN
21 AA.PROCESS.LEVEL.ARRANGEMENTS Processes Arrangements that are interlinked during COB BNK/AA.EOD.PROCESS FIN
BNK/AA.INTRADAY.PROCESS FIN
BNK/AA.SOD.PROCESS FIN
22 AA.PROCESS.POSTING.RESTRICTION Updates or removes posting restriction from base account, based on posting restriction start and end date defined in ACCOUNT arrangement condition BNK/AA.PROCESS.POSTING.RESTRICTION FIN
23 AA.PRODUCT.CREATION.SERVICE Creates products from EB.PRODUCT.IMPORTER definition for EPD BNK/AA.PRODUCT.CREATION.SERVICE FIN
24 AA.PRODUCT.IMPORT.SERVICE Creates imported product defined using Product Import Manager BNK/AA.PRODUCT.IMPORT.SERVICE FIN
25 AA.PUBLISH.SERVICE Performs proof and publish of AA products BNK/AA.PUBLISH.SERVICE FIN
26 AA.RR.PROCESS Performs offline reverse and replay processing for Accounts product line as part of End Of Day process BNK/AA.EOD.PROCESS FIN
27 AA.RR.SERVICE Responsible for Offline reverse and replay processing for Accounts product line BNK/AA.RR.SERVICE FIN
28 AA.SERVICE.PROCESS Processes for all AA scheduled activities BNK/AA.EOD.PROCESS FIN
BNK/AA.INTRADAY.PROCESS FIN
BNK/AA.SOD.PROCESS FIN
29 AA.SIMULATION.SERVICE Simulates or executes the AAA activities which are captured through AA.SIMULATION.CAPTURE BNK/AA.SIMULATION.SERVICE FIN
30 AA.SYSTEM.END.OF.DAY Processes the activities that are triggered from external application, which are not scheduled activities BNK/AA.EOD.PROCESS FIN
BNK/AA.INTRADAY.PROCESS FIN
BNK/AA.SOD.PROCESS FIN
BNK/AA.SYSTEM.END.OF.DAY FIN
31 AA.UNAUTH.ACTIVITIES.CHECK Checks for NAU activities that are not recreated after SOD BNK/AA.INTEGRITY.CHECK FIN
32 AA.UPDATE.AGENT.CUSTOMER.LIST Updates AA.AGENT.CUSTOMER.LIST BNK/AA.UPDATE.AGENT.CUSTOMER.LIST FIN

Cheque & Draft Issue Management (CQ)

S.No Job Name Description of Job Batch name Classification
1 CARD.BILL.CLOSE.REPAY.DATES Converts card bill close and repay dates correctly CARD.BILL.CLOSE.REPAY.DATES FIN
2 DELETE.CLOSED.ACCOUNT.CHEQUES Moves CHEQUE.ISSUE and its concat to HIS irrespective of cheque status and deletes the live and NAU records DELETE.CLOSED.ACCOUNT.CHEQUES FIN

Centralised Reference Data (RD)

S.No Job Name Description of Job Batch name Classification
1 RD.UPDATE.LEI.CONCAT.TAKEON One time service that updates RD.LEI.CONCAT file for the existing RD.CENTRAL.BANK.DIR records RD.UPDATE.LEI.CONCAT.TAKEON INT
2 RD.DELETE.BANK.DIR Reverses the RD.CENTRAL.BANK.DIR in DELETE status RD.DELETE.BANK.DIR INT
3 RD.GPI.DELETE.SERVICE Reverses the RD.SWIFT.GPI.DIR inDELETE status RD.GPI.DELETE.SERVICE INT
4 RD.GPI.MERGE.FUTURE.SERVICE Merges future dated RD.SWIFT.GPI.DIR records RD.GPI.MERGE.FUTURE.SERVICE INT
5 RD.MERGE.FUT.BANK.DIR Merges future dated RD.CENTRAL.BANK.DIR records RD.MERGE.FUT.BANK.DIR INT
6 RD.UPLOAD.BANK.DIR.SERVICE Uploads bank directory plus records in RD.CENTRAL.BANK.DIR file RD.UPLOAD.BANK.DIR.SERVICE INT

Collateral Management (CO,CX)

S.No Job Name Description of Job Batch name Classification
1 CO.CALC.CUST.COLL.SERVICE Calculates collateral deficit or excess based on the collateral valuation parameter CO.CALC.CUST.COLL.SERVICE CUS
2 CO.EXCLUDE.SERVICE Adds or removes the exclusion ID from the collateral, upon creation or reversal of COLLATERAL.EXCLUSION CO.EXCLUDE.SERVICE CUS
3 CO.RECALC.CUST.COLL Calculates customer deficit based on the Collateral Valuation parameter CO.RECALC.CUST.COLL CUS
4 CO.RECALC.SUFFICIENCY.RATIO Recalculates the sufficiency ratio for the Collateral Pool CO.RECALC.SUFFICIENCY.RATIO CUS
5 CO.REPORT.EXCEPTIONS Processes exceptions  of COLLATERAL.POOL and COLLATERAL.ACCOUNT based on the exceptions trigger file CO.REPORT.EXCEPTIONS CUS
6 COLLATERAL.ONLINE.REVALUATION Performs the online collateral revaluation.
Note: The limit and collateral right are processed only when online update is set to yes in limit and collateral type respectively
COLLATERAL.ONLINE.REVALUATION CUS
7 CO.REBUILD.ALLOC.PRIORITY Updates the LIMIT.COL.ALLOC.WORK and COLLATERAL.RIGHT based on the reallocation rule set in the CO.REALLOCATION.PARAMETER CO.REBUILD.ALLOC.PRIORITY FIN

Collections (CL)

S.No Job Name Description of Job Batch name Classification
1 CL.PROCESS.COLLECTION   CL.COB.PROCESS CUS
2 CL.COLL.INCENTIVE.CALC   CL.COB.PROCESS CUS
3 CL.CALC.AGENCY.COMM   CL.COB.PROCESS CUS

Confirmation Matching (CM)

S.No Job Name Description of Job Batch name Classification
1 CM.FIND.MATCH.MESSAGE Controls the process of automated comfirmation matching CM.FIND.MATCH.MESSAGE INT
2 CM.NEW.MESSAGE Updates CM.MATCH.ITEM and CM.MESSAGAE CM.NEW.MESSAGE INT

Contact Preferences (PF)

S.No Job Name Description of Job Batch name Classification
1 DE.UPD.PRD.DCP.TAKEON One time service that updates DE.PRODUCT from DE.CUSTOMER.PREFERENCES DE.UPD.PRD.DCP.TAKEON INT
2 HOLD.MAIL.PRD.ONLINE Processes HOLD MAILS HOLD.MAIL.PRD.ONLINE INT

Currency Redenomination (EU)

S.No Job Name Description of Job Batch name Classification
1 EU.ARCHIVED.ACCT.CONVERSION Processes each records in EU.CONVERSION.PARAM EU.ARCHIVED.ACCT.CONVERSION FIN

Customer & Account Balance Reporting Model (DA)

S.No Job Name Description of Job Batch name Classification
1 DA.ACCT.ACTIV.TAKEON Performs initial data takeon for all Acct activity balances for DF customer.
Note: Balance Reporting model runs only once.
DA.ACCT.ACTIV.TAKEON FIN
2 DA.STMT.ENT.TAKEON Performs initial takeon of stmt entry data for Customer Balance Reporting model.
Note: It should be run only once
DA.STMT.ENT.TAKEON FIN

Delivery (DE)

S.No Job Name Description of Job Batch name Classification
1 DE.EOP.INWARD Performs End of Period processing for inward messages DE.EOP.INWARD FIN
2 DE.EOP.OUTWARD Performs End of Period processing for outward messages DE.EOP.OUTWARD FIN
3 EBQA.ARCHIVE Archives EB.QUERIES.AND.ANSWERS EBQA.ARCHIVE FIN
4 EBQA.UPD.CREATE.DATE Updates CREATION.DATE in old EBQA records EBQA.UPD.CREATE.DATE FIN
5 ISOMX.IN Processes inward messages arrived through generic interface using respective formatting routine ISOMX.IN FIN
6 DE.DISP.TIMECHECK Emulates the functionality of DE.MM.TIMECHECK DE.HOLD.KEY.RELEASE FIN
7 DE.PRINT Prints the delivery advice DE.PRINT FIN
8 EMAIL.OUT Formats the messages in respective carrier, also sends the formatted message to the interface, if any DE FORMATTING SERVICE FIN
9 ISOMX.OUT Updates transformed message in delivery files ISOMX.OUT FIN
10 SECUREMSG.OUT Formats the messages in respective carrier and also sends the formatted message to the interface, if any SECUREMSG.OUT FIN
11 SMS.OUT Formats the messages in respective carrier and also sends the formatted message to the interface, if any DE FORMATTING SERVICE FIN
12 TEMPLATE.SPOOL Writes the message contents to the printer server queue. It is then accessed by the GUI print server, which invokes WORD to print the message. TEMPLATE.SPOOL FIN
13 XML.OUT Formats the messages in respective carrier and also sends the formatted message to the interface, if any XML.OUT FIN

Derivatives (DX)

S.No Job Name Description of Job Batch name Classification
1 DX.SOD.RP.REBUILD This process maintains the value dated positions in DX.REP.POSITION DX.START.OF.DAY FIN
2 DX.COB.FUNDS.BLOCK To block available funds DX.END.OF.DAY FIN
3 DX.COB.WORKFILE.TIDY To archive DX.COB.WORKFILE when COUNTDOWN reached 0 DX.END.OF.DAY FIN
4 DX.STATIC.CHANGES CRF Static change update for Derivatives DX.END.OF.DAY FIN
5 DX.CRF.HIST.CREATE CRF History create update for Derivatives DX.END.OF.DAY FIN
6 DX.REBUILD.CONTRACT.DATES Rebuild DX.CONTRACT.DATES DX.END.OF.DAY FIN
7 DX.COB.CLEAR.HISTORY Clears DX.COB.WORKFILE.HISTORY based on the days specified in HLD.WORK.HIST.DAYS of DX.PARAMETER DX.END.OF.DAY FIN
8 DX.CONV.PM.POSITIONS To convert the existing PTA and Position class records captured from derivatives module DX.CONV.PM.POSITIONS FIN
9 DX.CLEAR.CONTRACT.DATES Clears DX.CONTRACT.DATES DX.END.OF.DAY FIN
10 DX.COB.CLEAR.MKT.HIST Deletes DX.MARKET.PRICE.HISTORY record when the date found in history record key is less than the calculated working date based on the PRICE.DAYS provided in DX.PARAMETER record DX.END.OF.DAY FIN
11 DX.COB.REVALUE Selects DX.RV.TRIGGER and performs Revaluation processing DX.END.OF.DAY FIN
12 DX.DEL.LIMIT.ETD Limit updation for ETD trades is controlled based on parameter setup DX.END.OF.DAY FIN
13 DX.SOD.CUST.POS.REBUILD Updates the file DX.CUST.POS DX.START.OF.DAY FIN
14 DX.UPDATE.CONTRACT.DATES Updates the contract dates file DX.UPDATE.CONTRACT.DATES INT
15 DX.UPDATE.CONTRACT.DATES Updates the contract dates file DX.END.OF.DAY FIN
16 DX.MKT.PRI.TO.HIST Update the information to history file of market price record DX.END.OF.DAY FIN
17 DX.BUILD.TXN.ACT.CUST Updates DX.TXN.ACT.CUST and clears file DX.TXN.ACT.CUST.WRK DX.END.OF.DAY FIN
18 DX.POST.PREM.SWAP.CDS Posts the premium and moves the paid premium details from DX.PREMIUM.DETS file to DX.PREM.DETS.PAID file DX.START.OF.DAY FIN
19 DX.COB.PRICE.CHECK Price Checking Process DX.END.OF.DAY FIN
20 DX.FWD.POST Own-book P&L entries with forward value dates (i.e. charges/premswith posting offsets) are stored in DX.FWD.POSTINGS by transaction and value date. This process picks up postings due today and passes them to the Derivatives accounting. DX.END.OF.DAY FIN
21 DX.COB.CO.SYSTEM To generate Automatic Closeouts DX.END.OF.DAY FIN
22 DX.SOD.RPA.TIDY This job has a dependency on DX.SOD.RP.REBUILD DX.START.OF.DAY FIN
23 DX.FWD.POST.SOD Own-book P&L entries with forward value dates (i.e. charges/premswith posting offsets) are stored in DX.FWD.POSTINGS by transaction and value date. This process picks up postings due today and passes them to the Derivatives accounting. DX.START.OF.DAY FIN
24 DX.COB.MARKET.PRICES To purge the file DX.MARKET.PRICE DX.END.OF.DAY FIN
25 DX.POST.VM.INDIV.ENTRIES Selects records with TRADE.STATUSRNA from DX.VARIATION.MARGIN.DETS DX.RV.SERVICE FIN
26 DX.POST.VM.INDIV.ENTRIES Selects records with TRADE.STATUSRNA from DX.VARIATION.MARGIN.DETS DX.END.OF.DAY FIN
27 DX.COB.BUILD.WORKFILE Updates the work file DX.COB.WORKFILE DX.END.OF.DAY FIN
28 DX.POST.CASH.PAYOUT Updates DX.REP.POSITION and creates accounting entries for DX.CLOSEOUT DX.POST.CASH.PAYOUT FIN
29 DX.MTM.PROCESSING
  • This rotuine gets the trade id as incoming argument and finds whether MTM is required or not.
  • If MTM is required then fetch the market price key that is updated in trade and get the MTM that is
    • Updated in SYDX.MARKET.VAL record.
    • Build the accounting entry for the MTM amount by calling DX.ACCOUNTING and then pass the accounting
    • Array to EB.ACCOUNTING to generate the accounting entries.
DX.END.OF.DAY FIN
30 DX.ORD.AGR.TRADE COB processing routine to do trade aggregation from order for derivatives DX.ORD.AGR.TRADE FIN
31 DX.CLEAR.FILES This job is to clear the concat files of DX during COB processing DX.START.OF.DAY FIN

Digital Investments/Dual and Triple Currency Investments (DI)

S.No Job Name Description of Job Batch name Classification
1 SY.DCI.EMIT This routine handles the generation of IF events after maturity of SY.DCI contract SY.DCI.EMIT FIN

Direct Debits (DD)

S.No Job Name Description of Job Batch name Classification
1 DD.DDI.AUTO.CANCEL Moves the status from mandate to cancelled based on the inactivity period or termination date DD.DDI.AUTO.CANCEL FIN
2 DD.DDI.PURGE Archives the DD.DDI with status as CANCELLED DD.DDI.PURGE FIN
3 DD.GENERATE.FILES Processes the list of mandates and builds the required output file DD.GENERATE.FILES FIN
4 DD.PROC.COMB.RET Processes DD return for combined item DD.PROC.COMB.RET FIN

Equity Accumulator (DP)

S.No Job Name Description of Job Batch name Classification
1 SY.ENTL.CREATE Job creates SY.ENTITLEMENT record SY.CORPORATE.ACTIONS FIN
2 SY.BTB.ENTL.CREATE Job creates SY.B2B.ENTL record SY.CORPORATE.ACTIONS FIN

European Savings Directive (ET)

S.No Job Name Description of Job Batch name Classification
1 SC.EU.DATA.BUILD.3 This routine does the final EU tax calculation INITIAL.DATA.BUILD FIN
2 SC.EU.DATA.BUILD.3 This routine does the final EU tax calculation ET.END.OF.DAY FIN
3 SC.EU.INFO.CUSTOMER This routine builds the initial data for the tax calculation ET.END.OF.DAY FIN
4 SC.EU.DATA.BUILD.2 Updates the work file SC.EU.DATA.BUILD.2 for the tax calculation INITIAL.DATA.BUILD FIN
5 SC.EU.DATA.BUILD.1 Updates the work file SC.EU.DATA.BUILD.1 for the tax calculation INITIAL.DATA.BUILD FIN
6 SC.EU.PAST Updates the file EU.TAX.LINK.PAST that needs to be purged ET.END.OF.DAY FIN

Fiduciary Deposits (FD)

S.No Job Name Description of Job Batch name Classification
1 FD.EOD.PERFORM.ACCRUALS Processes the accruals for interest and commissions for fiduciary contracts at the frequency defined in the parameter file. Selection file: FD.FIDUCIARY FD.FID.ORDER FD.END.OF.DAY FIN
2 FD.EOD.PROCESS.SCHEDULES Processes all types of schedules corresponding to Placement and Fiduciary Order contracts. Selection file: FD.EOD.LIST FD.SCHEDULES FD.END.OF.DAY FIN
3 FD.SOD.PROCESS.SCHEDULES Processes all types of schedules corresponding to Placement and Fiduciary Order contracts during split month end. Selection file: FD.EOD.LIST FD.SCHEDULES FD.START.OF.DAY FIN
4 FD.UPDATE.GROUP.PAYMENT Updates FD.GROUP.PAYMENT records with AUTO.CHG.RATE set to 'Y' with the rate with the BID.RATE from PERIODIC.INTEREST table. Selection file: FD.GROUP.PAYMENT FD.END.OF.DAY FIN
5 FD.COMPLETE.AUTHORISATION Performs authorisation process for the FIDUCIARY contract and the linked orders. Selection file: FD.FIDUCIARY$NAU FD.END.OF.DAY FIN
6 FD.EOD.UPDATE.CUST.VALUE Calculates the total assets of each fiduciary customer portfolio's and stores it in the FD.CUST.VALUE file. Selection file:FD.ORDER.CUST FD.END.OF.DAY FIN
7 FD.SOD.PERFORM.ACCRUALS Processes the accruals for interest and commissions for fiduciary contracts at the frequency defined in the parameter file during split month end. Selection file: FD.FIDUCIARY FD.FID.ORDER FD.START.OF.DAY FIN
8 FD.EOD.NOTICE.SCHEDULES Processes all placements linked to the FD.GROUP.PAYMENT record and regenerate the next set of schedules for those contracts when FD.GROUP.PAYMENT record is changed. Selection file: FD.GROUP.PLACEMENT FD.GROUP.TODAY FD.END.OF.DAY FIN
9 FD.PROCESS.RENEWALS Generate renewals of Fiduciary orders prior to maturity of the existing orders based on the value of RENEWAL.DAYS in FD. PARAMETER. Selection file: FD.ORDER.MATURITY FD.START.OF.DAY FIN
10 FD.EOD.STATIC.CHANGES Process static changes for the fiduciary module. Changes to FD.FID.ORDER FD.FIDUCIARY and FD.PARAMETER as well as Customer level changes are processed. FD.END.OF.DAY FIN
11 FD.EOD.CYCLE.GROUP.PAYMENT Cycles the interest settlement date in FD.GROUP.PAYMENT records. At the end of each interest settlement the details of rates are written to the FD.GROUP.PAYMENT.HIST file. Selection file: FD.GROUP.PAYMENT FD.EOD.CYCLE.DATA CUS
12 FD.EOD.REPLACE.ORDER Replaces the orders based on REPLACE.ORDER field in FD.FID.ORDER. Selection file: FD.FID.ORDER FD.END.OF.DAY FIN
13 FD.UNPLACED.ORDERS Generates new forward entries for those orders that are still unplaced but have passed the value date or have a principal change which has not yet been approved by the dealer and is back valued. Selection file: FD.FID.ORDER FD.START.OF.DAY FIN
14 FD.EOD.LIQ.TO.HIS Moves the matured contracts to history based on DAYS.POST.MATURITY in parameter. Selection file: FD.FIDUCIARY FD.FID.ORDER FD.END.OF.DAY FIN
15 FD.FID.ORDER.LIQ.LIST Get the FD order IDs which are matured as part of COB to be consumed by TAP FD.START.OF.DAY FIN

Funds Transfer (FT)

S.No Job Name Description of Job Batch name Classification
1 FT.BULK.ARCHIVE Moves the processed and rejected FT.BULK.MASTER and FT.BULK.ITEM records to HIS FT.BULK.ARCHIVE FIN
2 FT.BULK.PAYMENT Performs bulk processing of FT based on set-ups in FT.BULK.MASTER and FT.BULK.ITEM FT.BULK.PAYMENT FIN
3 PAYMENT.BULK.CANCEL Selects DISCARDED records in FT.BULK.MASTER and triggers their corresponding PAYMENT.ORDER to be moved to CANCELLED status PAYMENT.BULK.CANCEL FIN
4 PAYMENT.BULK.MASTER Selects WAITEXEC records in FT.BULK.MASTER and triggers their corresponding PAYMENT.ORDER PAYMENT.BULK.MASTER FIN
5 CSM.BATCH.PROCESS.SERVICE Processes CSMBATCH clearing messages CSM.BATCH.PROCESS.SERVICE FIN
6 FT.RATES.FIXING.PROCESS Performs rate fixing for the INORATE and ANORATE records in FT.NORATE table FT.RATES.FIXING.PROCESS FIN
7 FT.SIM.EXPIRED.ARCHIVE Deletes simulation expiry FT FT.SIM.EXPIRED.ARCHIVE FIN

General Ledger (RE)

S.No Job Name Description of Job Batch name Classification
1 EOD.RE.CONTRACT.REVALUATION Emits data to the reporting database for revaluation done at the contract level EOD.RE.CONTRACT.REVALUATION FIN
2 RE.DF.RECALC.ENTRY.LINE Job record routine that exposes the financial details movement by re-stamping the new gl line for all the entries that are processed today RE.DF.RECALC.ENTRY.LINE FIN
3 RE.FIN.REPORTING.TAKEON Retrieves information like PL movement, contract movement, GL Balance and ECB balance to IF RE.FIN.REPORTING.TAKEON FIN
4 RE.RETURN.EXTRACT Builds the RE.CRF flat file for building CRB reports RE.RETURN.EXTRACT FRP
5 RE.BASE.CCY.CRF.SERVICE Generates a balanced CRF base in any currency other than the LCYCRF.SERVICE RE.BASE.CCY.CRF.SERVICE FRP
6 UPDATE.PL.CLOSE.DATES.SERVICE Updates missing PLclose dates in PL.CLOSE.DATES UPDATE.PL.CLOSE.DATES.SERVICE FIN

Interest & Charges (IC)

S.No Job Name Description of Job Batch name Classification
1 GROUP.ACCRUAL.ONLINE Rebuilds GROUP.ACCRUAL.DETAIL for the accounts which have moved during day and end of day processing GROUP.ACCRUAL.ONLINE FIN
2 CONV.AC.UPDATE.IC.CHARGE One time service that runs during upgrade to update the IC.CHARGE ID in account record if WAIVE.ALL is 'Yes' CONV.AC.UPDATE.IC.CHARGE FIN

ISO20022 - ACCOUNT REPORTING (IX)

S.No Job Name Description of Job Batch name Classification
1 XML.TRANSFORMATION Generates CAMT messages based on the XML message from IF and XSL from EB.TRANSFORM XML.TRANSFORMATION INT

Limits (LI)

S.No Job Name Description of Job Batch name Classification
1 LI.COLLATERAL.ACCOUNTING Updates collateral type balances in ECB for respective limit LI.COLLATERAL.ACCOUNTING CUS
2 LI.CUSTOMER.GROUP.INFO.SERVICE Updates the limit liablity when customer group is defined LI.CUSTOMER.GROUP.INFO.SERVICE CUS
3 LI.LIMIT.PARAMETER.MIGRATE One time post upgrade service that creates new records in Limit parameter for each application from System record LI.LIMIT.PARAMETER.MIGRATE CUS
4 LI.PROCESS.REPORTING.INFO.SERVICE Processes LIMIT.ALTERNATIVE.KEY to get validation limits of the particular customer or group LI.PROCESS.REPORTING.INFO.SERVICE CUS
5 LI.CONTRACT.ALLOCATION.SERVICE Updates the limit and Collateral related details in ECB when there is any change in the structure LI.CONTRACT.ALLOCATION.SERVICE FIN
6 LIMIT.GROUP.RECALC.SERVICE Processes the limit changes online whenever recalculation is required and based on a trigger file LIMIT.GROUP.RECALC.SERVICE CUS
7 LI.PROCESS.CHARGE.ACCT.SERVICE Processes charge account removal from limit LI.PROCESS.CHARGE.ACCT.SERVICE CUS
8 LIMIT.UPDATE.SERVICE Updates the limit exposure details of information type limits when they are setup to update the details as an offline process LIMIT.UPDATE.SERVICE CUS
9 LI.REBUILD.RESTRICTION.LIMITS Updates restriction limits with effective date lying between next calender date and next working date LI.REBUILD.RESTRICTION.LIMITS CUS

Loans and Deposits (LD)

S.No Job Name Description of Job Batch name Classification
1 LD.START.OF.DAY.3 Processes accruals during end of day based on the accrual frequency in LD Parameter file during split month end and start of day .Selection file: LD.LOANS.AND.DEPOSITS LD.START.OF.DAY FIN
2 LD.START.OF.DAY.2 Processes accruals for floating rate type contracts during split month end and start of day. Selection file: LD.LOANS.AND.DEPOSITS LD.START.OF.DAY FIN
3 LD.EOD.ISSUE.REIMB.ACCRUAL Performs accrual or amortisation of issue and re imbursement price discount or premium.Selection file:LD.LOANS.AND.DEPOSITS LD.END.OF.DAY FIN
4 LD.EOD.ISSUE.REIMB.ACCRUAL Performs accrual or amortisation of issue and re imbursement price discount or premium.Selection file:LD.LOANS.AND.DEPOSITS LD.START.OF.DAY FIN
5 LD.SOD.TRANCHE.END.SCH Job to process the tranche end dates during split-month. LD.START.OF.DAY FIN
6 BR.EOD.LIQ.TO.HIS To liquidate BILL REGISTER records to History BR.END.OF.DAY FIN
7 LD.PERIODIC.ADJUSTMENTS Applies back dated rate changes in LD cont racts of periodic automatic type to the interest due to ch anges in PERIODIC.INTEREST tab le.Selection file: LD.LOANS.AND.DEPOSITS LD.END.OF.DAY FIN
8 LD.EOD.5 Moves the matured contracts to history based on DAYS.POST.MATURITY field in LM M.INSTALL.CONDS file. Selection file:LD.LOANS.AND.DEPOSITS LD.END.OF.DAY FIN
9 LD.END.OF.DAY.2 Processes accruals during end of day based on the accrual frequency in LD Parameter file.Selection file: LD.LOANS.AND.DEPOSITS LD.END.OF.DAY FIN
10 LD.SOD.FWD.MOVEMENT Raises forward entries for the contracts in which the value date is adjust ed through VD.DATE.ADJUSTEMEN T field.Selection file:LD.LOANS.AND.DEPOSITS LD.START.OF.DAY FIN
11 LD.START.OF.DAY.1 Processes all types of schedules in LD during split month end and start of day.Also process contracts with MAURE.AT. SOD is set to 'YES'.Selection file: LMM.SCHEDULESLD.COMMITMENT LD.START.OF.DAY FIN
12 LD.END.OF.DAY.8 Processes the maturity of the commitment contracts. Selection file: LD.BACKVALUE.SCH.CONCAT LD.LOANS.AND.DEPOSITS LD.END.OF.DAY FIN
13 LD.END.OF.DAY.8 Processes the maturity of the commitment contracts. Selection file: LD.BACKVALUE.SCH.CONCAT LD.LOANS.AND.DEPOSITS LD.START.OF.DAY FIN
14 LD.EOD.9 Updates the new interest rate and interest amount for floating type LD contracts when the corresponding BI table is changed.Selection file: LD.LOANS.AND.DEPOSITS LD.END.OF.DAY FIN
15 LD.END.OF.DAY.4 Processes all types of the schedules in LD module (loans deposits and commitments ) during end of day. Control list -Back (Back valued commitments) COMMITMENT(Normal commitments) Normal loans and deposits. Selection file: LD.BACKVALUE.SCH.CONCAT LMM.SCHEDULES LD.COMMITMENT LD.END.OF.DAY FIN
16 LD.SOD.COMMT.UPD Updates the Commt.Avail.Amt in the commitment contracts during start of day for live tranche. Selection file: LD.TRANCHE.ST.LIST LD.START.OF.DAY FIN
17 LD.END.OF.DAY.3 Processes accruals for floating rate type contracts. Selection file: LD.LOANS.AND.DEPOSITS LD.END.OF.DAY FIN

Lombard Lending (OV)

S.No Job Name Description of Job Batch name Classification
1 OV.ONLINE.VAL.BASE This record routine selects all the portfolios having holdings in the Security which has undergone a price change and update the activation file OV.ONLINE.VAL.FINAL.LIST. OV.ONLINE.VAL.BASE FIN
2 OV.ONLINE.VAL.FINAL This record routine performs the real time valuation of the portfolio. OV.ONLINE.VAL.FINAL FIN
3 OV.ONLINE.VAL.BULK This is the record routine of the multithreaded batch job OV.ONLINE.VAL.BULK. OV.ONLINE.VAL.BULK FIN

Nostro Reconcilliation (NR)

S.No Job Name Description of Job Batch name Classification
1 NR.AUTOMATCH Performs automatch of records in NR.ITEMS based on parameters defined in NR.PARAMETER NR.AUTOMATCH FIN
2 NR.PROCESS.MESSAGES Processes the incoming MT messages to create Ledger and Statement type of records in NR.STATEMENTS and their corresponding NR.ITEMS NR.PROCESS.MESSAGES FIN

Past Due (PD)

S.No Job Name Description of Job Batch name Classification
1 PD.PROCESS.OP.BALANCES Updates the existing PD.BALANCES record when th e PD.PEN.CALC.BASIS not equal to POST.GR.PE.CALC then the penalty interest will be calculated based on the new base amo unt. Selection file:PD.OP.BALANCES.DATE.LIST PD.EOD.PRE.PROCESS FIN
2 PD.PROCESS.OP.BALANCES Updates the existing PD.BALANCES record when th e PD.PEN.CALC.BASIS not equal to POST.GR.PE.CALCthen the penalty interest will be calcul ated based on the new base amount. Selection file: PD.OP.BALANCES.DATE.LIST PD.END.OF.DAY FIN
3 PD.PROCESS.OP.BALANCES Updates the existing PD.BALANCES record when th e PD.PEN.CALC.BASIS not equal to POST.GR.PE.CALCthen the p enalty interest will be calcul ated based on the new base amount. Selection file: PD.OP.BALANCES.DATE.LIST PD.START.OF.DAY FIN
4 PD.EOD.ACTIVITY.TODAY Processes charges and commissions for all PD's that were created during the day. Selection file: PD.ACTIVITY.TODAY PD.END.OF.DAY FIN
5 PD.EOD.CONTRACT Process all activities for PD contracts - This includes limit processing retry of payment floating rate changes capitalisation and accrual postings movement to history etc. Selection file: PD.PAYMENT.DUE. Control list: PROCESS.PDS(to process pd records) PURGE.EXCEPTION ( to delete PD.PROV.EXCEPTION.LOG) file PD.END.OF.DAY FIN
6 PD.PROCESS.AC.PD Processes 'PR''IN' type of PDAC contracts and adjusts PD balances based on underlying account's movements .Selection file: OD.ACCT.ACTIVITY PD.SYS.END.OF.DAY FIN
7 PD.UNDER.REV.SUSP Program to reverse the accruals PD.EOD.PRE.PROCESS FIN
8 PD.UNDER.REV.SUSP Program to reverse the accruals PD.END.OF.DAY FIN
9 PD.EOD.DEL.PD.CAP Moves l PD.CAPTURE records to history . Selection file: PD.CAPTURE PD.END.OF.DAY FIN
10 PD.EOD.AC.OD Creates PDAC for Account PDs. Selection file: ACCOUNT.OVERDRAWN PD.SYS.END.OF.DAY FIN
11 PD.UNDER.REV.ACC To reverse the accruals PD.EOD.PRE.PROCESS FIN
12 PD.UNDER.REV.ACC To reverse the accruals PD.END.OF.DAY FIN
13 PD.UNDER.REV.ACC To reverse the accruals PD.START.OF.DAY FIN
14 PD.AC.OD.CLEAR Repays thePDAC contract for which account is out of overdraft. Selection file:PD.EOD.AC.OD.PREVIOUS PD.SYS.END.OF.DAY FIN
15 PD.PROCESS.PAYMENT Processes repayments for PDs triggered by online payment.Selection file: PD.ONLINE.PAYMENT PD.END.OF.DAY FIN
16 PD.PROCESS.UL.MVMT Adjusts the underlying contract's principal movement amount in the corresponding PD balances records with calc basis is OS. Selection file:PD.OS.PRINC.MVMT PD.EOD.PRE.PROCESS FIN
17 PD.PROCESS.UL.MVMT Adjusts the underlying contract's principal movement amount in the corresponding PD balances records with calc basis is OS. Selection file: PD.OS.PRINC.MVMT PD.END.OF.DAY FIN
18 PD.PROCESS.UL.MVMT Adjusts the underlying contract's principal movement amount in the corresponding PD balances records with calc basis is OS. Selection file: PD.OS.PRINC.MVMT PD.START.OF.DAY FIN
19 BACK.VALUE.SUSPENSION Reverse out the accurals that have been posted to P&L for the suspended record. PD.EOD.PRE.PROCESS FIN
20 PD.SOD.CONTRACT Process all activities for PD contracts during start of day of split month end - This includes limit processing retry of payment floating rate changes capitalisation and accrual postings movement to history etc. Selection file: PD.PAYMENT.DUE. Control list:PROCESS.PDS PD.START.OF.DAY FIN

Pricing in AA (PR)

S.No Job Name Description of Job Batch name Classification
1 AA.CUSTOMER.RELATIONSHIP.TRACKER Looks for the relationship products against which arrangement has to be raised for the incoming Customer ID. There can be cases where the customer might be checked against multiple products. In such cases, all the products are processed in one call to process this job. BNK/AA.CUSTOMER.RELATIONSHIP.TRACKER FIN
2 AA.RELATIONSHIP.TRACKER Tracks the Relationship product changes and applies them to the related customer arrangement record BNK/AA.RELATIONSHIP.TRACKER FIN

Repurchase Agreements (RP)

S.No Job Name Description of Job Batch name Classification
1 RP.SOD.DETERMINE.ACTIVITY Determines the contract initiation and maturity activities for the forward and live contracts RP.START.OF.DAY FIN
2 RP.SOD.MARGIN.CALL Handles Margin Call in Repo RP.START.OF.DAY FIN
3 RP.EOD.MATURITY Moves RP contracts to MAT RP.END.OF.DAY FIN
4 RP.SOD.STATUS.CHANGE Routine to move FWD contracts to CUR if the value date is LE TODAY RP.START.OF.DAY FIN
5 RP.EOD.DETERMINE.ACTIVITY Determines EOD REPO contract Maturity or Initiation RP.END.OF.DAY FIN
6 RP.SOD.LIQ.TO.HIS One of the component of RP.SOD.PROCESSING RP.START.OF.DAY FIN
7 RP.MM.EOD Processes MM capitalisation for MM contracts thro' REPO RP.END.OF.DAY FIN
8 RP.SOD.MATURITY Processes Matured Repos. RP.START.OF.DAY FIN
9 RP.EOD.STATUS.CHANGE Moves RP contracts FWD->CUR RP.END.OF.DAY FIN
10 RP.EOD.LIQ.TO.HIS Moves the contracts to History after Settlement RP.END.OF.DAY FIN
11 RP.SOD.UPDATE.POSITIONS Delete security.transfer references from RP.SCTR.UPD.SCHEDULES Called by REPO when replacement has occurred. RP.START.OF.DAY FIN
12 RP.EOD.MARGIN.CALL Handles Margin Call in Repo RP.END.OF.DAY FIN
13 RP.EOD.SOD.DELIVERY Runs delivery of REPO contracts in close of business RP.END.OF.DAY FIN
14 RP.EOD.SOD.DELIVERY Runs delivery of REPO contracts in close of business RP.START.OF.DAY FIN

Retail Bundle (AB)

S.No Job Name Description of Job Batch name Classification
1 AA.POOL.ADMINISTRATION.PROCESS Performs pool administration operations link, delink and restructure of both external and internal BNK/AA.EOD.POOL.ADMINISTRATION FIN
BNK/AA.SOD.POOL.ADMINISTRATION FIN
2 AA.POOL.ADMINISTRATION.RESUBMIT Reschedules the activities that are failed to next working day BNK/AA.SOD.POOL.ADMINISTRATION FIN
3 AA.POOL.ORCHESTRATION.SERVICE Orchestrates various activities within a balance netting pool BNK/AA.POOL.ORCHESTRATION.PROCESS FIN
BNK/AA.POOL.ORCHESTRATION.SERVICE FIN

Retail Lending (AL)

S.No Job Name Description of Job Batch name Classification
1 AA.SERVICE.PROCESS Performs the processing of all scheduled activities. The process checks for all current arrangement contracts to see if there a scheduled activity due to be processed as part of the Close of Business. AA.INTRADAY.PROCESS FIN
AA.EOD.PROCESS FIN
AA.SOD.PROCESS FIN
2 AA.COB.PAY.IN.OUT This job submits and completes the processing of AA.ARRANGEMENT.ACTIVITY requests generated by non-AA transactions during close of business AA.SOD.PROCESS FIN

Securities (SC)

S.No Job Name Description of Job Batch name Classification
1 SC.PERF.DETAIL.UPD.BATCH Updates SC.CASH.FLOW.TRANS and SC.PERF.DETAIL SC.BATCH.PERF FIN
2 AM.SC.MOVEMENT.TOTAL It is one of the job in AM.SC.MOVEMENT batch which checks the total nominal available based on the valuation amount in SAM or closing nominal from SP for each OBC record and stores the corresponding record in another work file called FBNK.AM.SC.MOVEMENT.TOTS if nominal available. AM.SC.MOVEMENT FIN
3 SC.ACCR.DATE.UPDATE Performs the interest day cycling in SECURITY.MASTER SC.BATCH.START FIN
4 SC.TRAIL.FEES.BV.UPDATE.POST Clears BV.EFFECTIVE.DATE from all SC.TRAIL.FEES.ARRANGEMENT records SC.TRAIL.FEES.BV.UPDATE CUS
5 SC.TRAIL.FEES.BV.UPDATE.POST Clears BV.EFFECTIVE.DATE from all SC.TRAIL.FEES.ARRANGEMENT records SC.RECALC.TRAIL.FEES CUS
6 SC.EOM.VAL.PRICE.UPD Updates SC.VAL.PERFORM SC.BATCH.REP FIN
7 WRITE.SC.VAL.EXTRACT Updates SC.VALUATION.EXTRACT file from SC.POS.ASSET file SOD.SC.VAL.EXT FIN
8 WRITE.SC.VAL.EXTRACT Updates SC.VALUATION.EXTRACT file from SC.POS.ASSET file SC.VAL.EXTRACT FIN
9 SC.UPD.VALUE.DATE.POSN Calculates value date position SC.SYS.END.OF.DAY FIN
10 SC.EOD.SETTLE.MAT Moves matured SC.SETTLEMENT records to history SC.SYS.END.OF.DAY FIN
11 PURGE.OPEN.ORDER.DETAILS Moves SC.SOO.CUST.DETAIL records to history when the parent SOO is moved to history SC.BATCH.APP FIN
12 SC.REVAL.PROCESSING.POST Recycles the revaluation frequency SC.BATCH.APP FIN
13 SC.AM.DYN.MODEL.SYNC Adjusts nominal amounts against securities on a nominal type dynamic model after corporate action has taken place. Shell for AM.DYN.MODEL.SYNC. SOD.SC.VAL.EXT FIN
14 SC.TRAIL.FEES.ACCR.POST Posts the trailer fee accrual entries based on the setup in SC.TRAIL.FEES.ARRANGEMENT SC.TRAIL.FEES.ADJUSTMENT CUS
15 SC.TRAIL.FEES.ACCR.POST Posts the trailer fee accrual entries based on the setup in SC.TRAIL.FEES.ARRANGEMENT SC.EOD.TRAIL.FEES CUS
16 SC.TRAIL.FEES.ACCR.POST Posts the trailer fee accrual entries based on the setup in SC.TRAIL.FEES.ARRANGEMENT SC.SOD.TRAIL.FEES CUS
17 OL.VAL.REPS.CONSOLIDATE Selects OL.VAL.REPS.CONS.INT and OL.VAL.REPS.CONS.EXT and generates internal and external reports based upon the report type. OL.VAL.REPS FIN
18 SC.OL.VAL.MASTER.MARGIN Updates the group margin fields in the SEC.ACC.MASTER SC.GROUP.VALUATION.MARGIN FIN
19 SEC.TRADE.SERVICE Updates the SEC.TRADE.CUST.DETAIL record through service SEC.TRADE.SERVICE FIN
20 SC.STOCK.DIV.RERUN This subroutine, for each request key on the concat record, cancels or recreates the detail records for stock dividends depending on the value of the 'RERUN/CANCEL' flag on the request record. SC.BATCH.APP FIN
21 SC.EOD.TRADE.CALC.PL Updates SC.SEC.ACC.PL with realized and unrealized profits for today trades SC.BATCH.REP FIN
22 SC.EXT.ASSETS.BAL The Net Asset Balance is extracted from SC.POS.ASSET for the purpose of computing the Investment Advisory Charges. SC.SYS.END.OF.DAY FIN
23 SC.EOD.BLK.RECS Records from the SC.BLOCK.SEC.POS file which have expired are moved to $HIS file and deletes the old records SC.BATCH.APP FIN
24 SC.EOD.EXCEPTION.LOG Creates exception log for transaction overrides SC.BATCH.REP FIN
25 SC.SOD.SETT.DATE.ACCTG Raises accounting at EOD of value date SC.BATCH.START FIN
26 SC.BULK.CHILD.AUTH.SERVICE Authorises all the child orders/trades of the given parent order/trade. SC.PARENT.CHILD.PROCESSING FIN
27 EOD.VAL.PERFORM.UPDATE2 Updates FLOW.AMOUNT and VALUATION FLOW in SC.VAL.PERFORM SC.BATCH.REP FIN
28 SC.PARENT.CHILD.TRADE.REV Reverses Order records with information from REV work file SC.PARENT.CHILD.TRADE.REV FIN
29 SC.STOCK.CONV.SETTLE Processes unsettled txns in the orig.sec during stock conversion SC.BATCH.APP FIN
30 SC.STOCK.CONV.SETTLE Processes unsettled txns in the orig.sec during stock conversion SC.CORPORATE.ACTIONS FIN
31 SC.DIV.COUP.RERUN This subroutine, for each request key on the concat record, cancels or recreates the detail records for coupons/dividends depending on the value of the 'RERUN/CANCEL' flag on the request record. SC.BATCH.APP FIN
32 SC.CLEAR.RECLASS.WRK This routine deletes the Workfile SC.SAM.RECLASS.WRK after RECLASSIFICATION SC.BATCH.APP FIN
33 SC.ADV.FEES.ACCRUAL Calculates ADVISORY fees. SC.SYS.END.OF.DAY FIN
34 SC.POS.MVMT.CLEAR Deletes the SC.POS.MOVEMENT file SC.SYS.END.OF.DAY FIN
35 EOD.SCINDICES.UPDATE EOD job routine to read Last.Price from Security.Master and updates c.idx.RATE in Sc.Indices SC.SYS.END.OF.DAY FIN
36 SP.PARENT.CHILD.DELIVERY Process of child trades authorisation and regeneration on replacement of parent trade SP.PARENT.OUTWARD.SETT FIN
37 SC.PURGE.BUILD.POS Updates SC.TRANS.POS.HISTORY and related accounting adjustment at SOD SC.BATCH.START FIN
38 SC.EOD.BROKER.POS.UPDATE Updates the settlement of stock between broker and depository for contractual settlement SC.BATCH.APP FIN
39 SC.EOD.SDC.CALC.PL Updates SC.SEC.ACC.PL with realized and unrealized profits for STOCK.DIV.CUS SC.BATCH.REP FIN
40 EOD.BUILD.CG.TXN.BASE Initiates the build for the CG Transaction Base. SC.BATCH.APP FIN
41 EOD.OUTST.DELIVER Runs at the end of the day and authorises the outstanding delivery records which satisfy certain conditions. It ignores any records whose is 'IHLD'. The incoming argument for this routine is SEC.DEL.CONTROL$NAU record ID SC.BATCH.APP FIN
42 AM.SC.MOVEMENT.PRE It is one of the job in AM.SC.MOVEMENT batch which reads all the records from the work file FBNK.AM.SC.MOVEMENT.POST and deletes all the existing records from SC.OBC.CUST.DETAIL (both in live and exception). AM.SC.MOVEMENT FIN
43 SC.EOD.SUB.ACC.CHG.POST Clears all the NEW.CHANGED fields from SC.SUB.ACC.ROUTING SYSTEM.SECURITIES CUS
44 SC.TRAIL.FEES.PRORATA.EXTRACT Prorates the adjustment amount in the SC.TRAIL.FEES.HOLDING record across the individual client SC.TRAIL.FEES.ADJUSTMENT CUS
45 SC.PRICE.CHANGE.ARCHIVAL Archival of SC.PRICE.CHANGE and SC.PRICE.CHANGE.CON SC.INT.ARCHIVAL INT
46 SC.UPDATE.SM.PRICE Updates price field In SECURITY.MASTER SC.BATCH.START FIN
47 EOD.VAL.PERFORM.UPDATE1 Updates PERFORM.FLOW VALUATION.END and PERFORM.END fileds in SC.VAL.PERFORM SC.BATCH.REP FIN
48 SC.SAFEKEEP.ACC Generates safe keeping charges related to accounting SC.SYS.END.OF.DAY FIN
49 SC.SAFEKEEP.ACC Generates safe keeping charges related to accounting SC.BATCH.START FIN
50 SC.OL.VAL.CHILD Performs valuation for the portfolio needs to valuate group margin value calculation SC.GROUP.VALUATION FIN
51 SC.EOD.MT536.INITIATE Initiates the generation of MT536 outbound message SC.BATCH.STMT FIN
52 SC.SAFE.FEES.ACCRUAL Calculates SAFECUSTODY fees. SC.SYS.END.OF.DAY FIN
53 SC.PORT.DIVERS Generate print file for portfolio diversification SC.BATCH.REP FIN
54 SC.FEE.REALISE Realises safekeep/advisory fees SC.SYS.END.OF.DAY FIN
55 SC.FEE.REALISE Realises safekeep/advisory fees SC.BATCH.START FIN
56 SR.TIDY.FILES Subroutine to move reconciliation data from live to history files SC.BATCH.RECON CUS
57 SC.CALC.YIELD.CON Calculates current yield YTM duration modified duration for all bonds and updates SECURITY.SUPP SC.SYS.END.OF.DAY FIN
58 SC.REVAL.PROCESSING The unrealized p/l posted on the last working day is reversed. The current position is revalued with the last price and the unrealised profit/loss is calculated. Trading position is updated with unrlprofit and reval date. The unrealized p/l calculated is posted. The current realized p/l is also posted SC.PL.ACCT.SETUP is called for posting a/c entries SC.BATCH.APP FIN
59 SC.CLEAR.FILES Clears some of the Securities files during COB processing SC.EOD.REP FIN
60 SC.CLEAR.FILES Clears some of the Securities files during COB processing SC.ONLINE FIN
61 SC.TRAIL.FEES.BV.UPD.HOLDING Updates the Holding Record during Back dated Transaction SC.TRAIL.FEES.BV.UPDATE CUS
62 SC.ENTITL.CREATE.POST Updates Diary records with the information generated in the ENTITLEMENT record SC.CORPORATE.ACTIONS FIN
63 SC.TRADE.POS.ACCRUAL Calculates the value dated position cost of position and accrued interest. Accounting entries are generated for daily accruals SC.BATCH.APP FIN
64 SC.AUTO.GRP.ORD Automatically groups multiple Sec.open.orders into a single order only when GROUP.ORDER is set to 'Automatic' or 'Both' in Sc.Parameter SC.GRP.ORD.SERVICE FIN
65 SC.BOND.RED.RERUN This subroutine for each request key on the concat record cancels or recreates the detail records for bond redemptions depending on the value of the 'RERUN/CANCEL' flag on the request record. SC.BATCH.APP FIN
66 SC.EOD.VAL.PERF.UPD Updates SC.VAL.PERFORM with STMT.ENTRY data which are created today SC.BATCH.REP FIN
67 EOD.REDEM.WARN.LIST Job to setup redemption requests for a security that is within the date range specified in SC.PARAMETER. SC.BATCH.REP FIN
68 SC.EOD.CHANGE.SUB.ASSET This end of day routine is used to call SC.CHANGE.SUB.ASSET which updates all linked records whenever the SUB.ASSET.TYPE on a SECURITY.MASTER record changes. SC.BATCH.APP FIN
69 SC.ADV.FEES.CREATE Routine for posting advisory charges as a service. SC.ADV.FEES.POST FIN
70 SC.PARENT.DEPO.CREATE This job creates parent trade for group of depository involved in the order. SC.PARENT.DEPO.CREATION FIN
71 CONV.SC.HOLD.POS Selects SC.HOLD.POS file and updates the SC.HOLD.POS file. CONV.SC.HOLD.POS.R08 FIN
72 SEC.OPEN.ORDER.LOG Creates exception log for override details in SEC.OPEN.ORDER SC.BATCH.REP FIN
73 SEC.OPEN.ORDER.SERVICE.ROUND Calculates and rounds the nominal's of SEC.OPEN.ORDER.SERVICE.ROUND records SEC.OPEN.ORDER.SERVICE FIN
74 SC.EOD.OPEN.BAL.UPDATE Updates value dated and trade dated opening balance SC.BATCH.START FIN
75 PURGE.OPEN.ORDERS Moves the live SOO to $HIS SC.BATCH.APP FIN
76 SC.ADV.FEES.MONTHLY.ACRL Raises accrual entries of advisory fees based on the setup in SAFECUSTODY.VALUES SC.SYS.END.OF.DAY FIN
77 SC.WHT.ADJUSTMENT.SERVICE Updates SC.PROCESS.WHT.ADJ record for selected Entitlements based on selection criteria SC.WHT.ADJUSTMENT.SERVICE FIN
78 OL.VAL.REPS.SERVICE Selects OL.VAL.REPS records and generates reports depending upon the value REP.TYPE. OL.VAL.REPS FIN
79 SC.TRADE.POS.HIS.UPD Updates SC.TRADE.POS.HISTORY SC.BATCH.APP FIN
80 SC.OL.VAL.MASTER.PLEDGE Updates the pledge margin value to SC.VALUATION.GROUP SC.GROUP.VALUATION.MARGIN FIN
81 STOCK.DIV.LOG Creates exception log for override details in STOCK.COUP.CUST and STOCK.COUP.DET SC.BATCH.REP FIN
82 SC.CASH.FLOW Creates F.SC.CASH.FLOW.TRANS print file SC.BATCH.REP FIN
83 SC.GROUP.POS.ASSET.CLR Clears the group positions SC.GROUP.VALUATION FIN
84 SC.GROUP.POS.ASSET.CLR Clears the group positions SC.SYS.END.OF.DAY FIN
85 SC.TRAIL.FEES.REALISE Raises Capitalisation entry on the Payment date SC.EOD.TRAIL.FEES CUS
86 SC.EXT.CLOSING.BAL The Closing Balance value is extracted from the SECURITYPOSITION for the purpose of computing the safekeeping fees. SC.SYS.END.OF.DAY FIN
87 SC.SOD.APPLY.DEF.INSTR Applies default instructions on ENTITLEMENT records that have no standing instructions SC.ONLINE FIN
88 SC.EOD.DCC.CALC.PL Updates SC.SEC.ACC.PL with realized and unrealized profits for DIV.COUP.CUS SC.BATCH.REP FIN
89 WRITE.SC.VAL.EXTRACT.FXSUSP Updates account related SC.VALUATION.EXTRACT records when the DIVERT.SPOT is set as YES SOD.SC.VAL.EXT FIN
90 WRITE.SC.VAL.EXTRACT.FXSUSP Updates account related SC.VALUATION.EXTRACT records when the DIVERT.SPOT is set as YES SC.VAL.EXTRACT FIN
91 SC.CHILD.TRADE.AUTH This job authorises child trades by checking whether parent trade is authorised SC.PARENT.TRADE.AUTHORISE FIN
92 FD.EOD.UPDATE.CUST.VALUE Calculates the total assets of each fiduciary customer portfolio's and stores it in the FD.CUST.VALUE file. Selection file: FD.ORDER.CUST SC.SYS.END.OF.DAY FIN
93 SC.EOD.CASH.FLOW.TRANS Updates SC.CASH.FLOW.TRANS file for each STMT.ENTRY found in ACCT.ENT.TODAY SC.BATCH.PERF FIN
94 SC.UPD.TRAIL.FEES.ARRANGEMENT Updates the Accrued amount in SC.TRAIL.FEES.ARRANGEMENT record on each Calculation date SC.TRAIL.FEES.BV.UPDATE CUS
95 SC.UPD.TRAIL.FEES.ARRANGEMENT Updates the Accrued amount in SC.TRAIL.FEES.ARRANGEMENT record on each Calculation date SC.EOD.TRAIL.FEES CUS
96 CONV.SC.HOLD.POS.POST Selects SC.HOLD.POS file and deletes the SC.HOLD.POS file CONV.SC.HOLD.POS.R08 FIN
97 REDEMPTION.LOG Creates exception log for override details in REDEMPTION.CUST and REDEMPTION.DET SC.BATCH.REP FIN
98 SEC.OPEN.ORDER.SERVICE.PRE Creates $nau records from live when a parent SOO has been re-input or reversed SEC.OPEN.ORDER.SERVICE FIN
99 SC.CPMF.ADC.PRATA.CALC Calculates Advisory charges on Grouped portfolios with charge type as PRORATA SC.SYS.END.OF.DAY FIN
100 WRITE.SC.VAL.PEND Updates the valuation for the pending order SOD.SC.VAL.EXT FIN
101 WRITE.SC.VAL.PEND Updates the valuation for the pending order SC.VAL.EXTRACT FIN
102 SC.UPD.STP.BALANCES Updates Contract Balance File of SC (SC.TRADING.POSIITON) with CONSOL.TRADING.BALANCE and CONTINGENT.BAL.CR and CONTINGENT.BAL.DB depending on Trans Type.(LIVE and FORWARDCR and FORWARDDB) SC.BATCH.APP FIN
103 WRITE.SC.VAL.EXTRACT.PRE Pre routine for clearing the SC.VALUATION.EXTRACT and the SC.VALUATION.EXTRACT.CONCAT file. SOD.SC.VAL.EXT FIN
104 WRITE.SC.VAL.EXTRACT.PRE Pre routine for clearing the SC.VALUATION.EXTRACT and the SC.VALUATION.EXTRACT.CONCAT file. SC.VAL.EXTRACT FIN
105 SC.SAFE.FEES.MONTHLY.ACRL Raises accrual entries of safekeeping fees based on the setup in SAFECUSTODY.VALUES SC.SYS.END.OF.DAY FIN
106 SC.EOD.SUB.ACC.CHG Updates the existing positions with a sub account according to the set-up for SC.SUB.ACC.ROUTING file. SC.BATCH.APP FIN
107 SC.UPDATE.SUPP Calculates and updates field Price Earn Ratio in Security.Supp with the PRICE passed. SC.CLEAR.CASHFLOW FIN
108 SC.STOCK.ENTRY.CLEAR Clears SC.STOCK.ENTRY file SC.BATCH.REP FIN
109 SC.CI.RERUN This subroutine for each request key on the concat record cancel or recreate the detail records for capital increase depending on the value of the 'RERUN/CANCEL' flag on the request record . SC.BATCH.APP FIN
110 SC.DIARY.REVERSAL Handles both Entitlement Reversals/Deletions thru OFS during a DIARY reversal. SC.CORPORATE.ACTIONS FIN
111 SC.OL.VAL.SEC Performs portfolio valuation and to recalculate and update the Security position SC.SYS.END.OF.DAY FIN
112 SC.CONSOL.SWITCH Switching of consol keys based on the amounts and updates the SC.TRADING.POSITION record SC.BATCH.APP FIN
113 SC.EOD.ORDER.BY.CUST Moves OBC records to history SC.BATCH.REP FIN
114 SC.ENTITLE.CREATE Generates/authorises Entitlement records SC.CORPORATE.ACTIONS FIN
115 SC.CPMF.SKF.SINGLE.CALC SC.CPMF.SKF.SINGLE.CALC Safekeeping fees on Grouped portfolios with charge type as SINGLE. SC.SYS.END.OF.DAY FIN
116 SC.EOM.UPDATE Updates SAM with performance details and also SC.SEC.ACC.PL SC.BATCH.REP FIN
117 EB.COMM.ACCRUAL.SC Accrual of safekeeping and advisory charges SC.SYS.END.OF.DAY FIN
118 SC.SOD.RECALC.PRICES Start of Day stage program to recalculate the prices and yield percentages from today to maturity SC.SYS.END.OF.DAY FIN
119 SC.CHECK.SEC.CONS Checks the violation of Holding Restrictions during Batch SOD.SC.VAL.EXT FIN
120 SC.EOD.TRAIL.FEES.ACCRUAL Calculates the trailer fee amount which is due from the issuer SC.EOD.TRAIL.FEES CUS
121 SC.EOD.VALUE.DT.STK.POS Updates of SC.STOCK.POSITION file with long or short position based on the transaction type. SC.BATCH.APP FIN
122 SC.EOD.PERF.POLICY ROUTINE TO UPDATE THE PERFORMANCEPOLICY FILE SC.BATCH.REP FIN
123 SC.SOD.STOCK.CONV.SETTLE Processes unsettled txns in the orig.sec during stock conversion SC.BATCH.START FIN
124 SC.RECALC.SEC.POSN Rebuilds and recalculates security positions and security trans SC.SYS.END.OF.DAY FIN
125 SC.TRAIL.FEES.RECALC.EXTRACT Recalculates the Extract record because of Back Dated Transactions SC.TRAIL.FEES.BV.UPDATE CUS
126 SC.TRAIL.FEES.RECALC.EXTRACT Recalculates the Extract record because of Back Dated Transactions SC.RECALC.TRAIL.FEES CUS
127 SC.AM.CLR.SCE.SERVICE Clears down old records from AM.SCENARIO and AM.COMPARE.DETAIL. AM.SC.MOVEMENT FIN
128 SC.MANUAL.GRP.ORD Selects the work file Sc.Manual.Grp.Ord.Wrk and Groups multiple Sec.Open.Orders into a single record through service SC.GRP.ORD.SERVICE FIN
129 SP.PARENT.CHILD.SETTLE This routine settles child reconciliation record on settlement of parent reconciliation SP.PARENT.INWARD.SETT FIN
130 SC.SETTLEMENT.SERVICE.PRE Start of the sc.settlement service selects all records set for processing and moves them to the post file. SC.SETTLEMENT.SERVICE FIN
131 SC.EOD.DELIV.POST Send all pending messages to delivery handoff SC.BATCH.REP FIN
132 AM.SC.MOVEMENT.POST It is one of the job in AM.SC.MOVEMENT batch which AM.SC.MOVEMENT batch which round the nominal from each OBC record by reading the record from FBNK.AM.SC.MOVEMENT.ROUNDING work file and update it in FBNK.SC.OBC.CUST.DETAIL file. It also delete the record from FBNK.AM.SC.MOVEMENT.ROUNDING work file after the process gets completed AM.SC.MOVEMENT FIN
133 SC.ORD.TRD.FWD.ACCT Raises fwd entry for trades (moved from Inau to Ihld) that are created from orders. SC.BATCH.START FIN
134 SEC.OPEN.ORDER.SERVICE Processes the SOO records to move from IHLD to INAU or INAU to LIVE SEC.OPEN.ORDER.SERVICE FIN
135 SC.ENTITLE.MODIFY Updates price on Entitlement records. SC.CORPORATE.ACTIONS FIN
136 SC.PARENT.CHILD.ORDER.REV Reverses order records with the information from rev work file. SC.PARENT.CHILD.ORDER.REV FIN
137 DIV.COUP.LOG Creates exception logfor override details in DIV.COUP.CUST and DIV.COUP.DET SC.BATCH.REP FIN
138 SEC.TRADE.SERVICE.PRE Selects routine to setup the common area for the multi-threaded COB job SEC.TRADE.SERVICE.PRE SEC.TRADE.SERVICE FIN
139 SC.SETT.DATE.ACCTG Raises the settlement dated accounting entries for future dated transactions SC.BATCH.APP FIN
140 SC.SAFE.FEES.ACC Generates management fees related accounting SC.SYS.END.OF.DAY FIN
141 SC.SAFE.FEES.ACC Generates management fees related accounting SC.BATCH.START FIN
142 SC.SOD.BROKER.POS.UPDATE Records settlement between broker and depository for actual settlement SC.BATCH.START FIN
143 SC.EOD.FUND.FLOW Updates SC.CASH.FLOW.TRANS file for each STMT.ENTRY found in ACCT.ENT.TODAY SC.BATCH.REP FIN
144 SC.UPDATE.SUPP.POST Clears market.price SC.CLEAR.CASHFLOW FIN
145 SC.POSITION.STMT Selects depository to be delivered check frequency and call STMT.DELIVERY SC.BATCH.REP FIN
146 SC.STOCK.CONV.SETTLE.POST Updates SC.SETTLEMENT thru OFS SC.BATCH.APP FIN
147 SC.STOCK.CONV.SETTLE.POST Updates SC.SETTLEMENT thru OFS SC.BATCH.START FIN
148 SC.STOCK.CONV.SETTLE.POST Update SC.SETTLEMENT thru OFS SC.CORPORATE.ACTIONS FIN
149 AM.SC.MOVEMENT.ROUNDING It is one of the job in AM.SC.MOVEMENT batch which round the nominal from each OBC record by reading the record from FBNK.AM.SC.MOVEMENT.ROUNDING work file and update it in FBNK.SC.OBC.CUST.DETAIL file. It also delete the record from FBNK.AM.SC.MOVEMENT.ROUNDING work file after the process gets completed AM.SC.MOVEMENT FIN
150 SC.SOD.ENT.AUTH Authorises Entitlements records authorize Entitlements records depending the date parameters entered in DIARY.TYPE. SC.ONLINE FIN
151 SC.TRAIL.FEES.BACKUP.EXTRACT Writes the Extract record with new key concatenated with Payment date SC.EOD.TRAIL.FEES CUS
152 SC.SOD.DIA.AUTH Authorises diary records that have DIA.AUTO.AUTH.DATE field set to today. SC.ONLINE FIN
153 SC.PL.ADJUST.ACCT The accounting entries are generated for P/L adjustments. The P/L adjustments are in POS.ADJUSTMENT file SC.BATCH.APP FIN
154 SC.EOD.UPD.DP.SETT.DATE Dependent routine which is run after the completion of SC.EOD.UPD.SETT.DATE SC.BATCH.APP FIN
155 SC.MT536.UPD.HIS Moves the trans details to archive file of MT536 outbound message SC.BATCH.STMT FIN
156 EOD.CFT.MKT.UPD Updates SC.CASH.FLOW.TRANS for SECURITY.TRANSFER or POSITION.TRANSFER SC.BATCH.PERF FIN
157 SC.CPMF.ADC.SINGLE.CALC Calculates Advisory charges on Grouped portfolios with charge type as SINGLE. SC.SYS.END.OF.DAY FIN
158 SC.UPD.TRAIL.FEES.POSTING Creates a new record in the file SC.TRAIL.FEES.HOLDING SC.EOD.TRAIL.FEES CUS
159 SC.TRAIL.FEES.ACCRUAL.UPDATE Posts the trailer fee accrual entries based on the setup in SC.TRAIL.FEES.ARRANGEMENT SC.EOD.TRAIL.FEES CUS
160 COB.SC.GROUP.TRADES.ACCOUNTING Processes all SC.GROUP.TRADES records with forward accounting SC.BATCH.START FIN
161 SC.EXT.ADV.FEES.ACTIVITY Performs the updation to SC.ADV.FEES.ACTIVITY which is used to calculate advisory fees. SC.SYS.END.OF.DAY FIN
162 EOD.DIV.AUT.REQ Generates Diary/ DIV.COUP.DET record automatically based on the setup in SC.PARAMETER and SECURITY.MASTERfile SC.ONLINE FIN
163 SC.SOD.DIARY.ARCH Subroutine to delete the records in SC.PRE.DIARY$NAU or put the live file in history file if the arch.date is raised SC.BATCH.SOD.CA FIN
164 SC.EOD.UPD.STOCK.POS Builds SC.STOCK.POSITION during End of Day SC.BATCH.APP FIN
165 VAULT.CONTROL.REMOVE Moves the VAULT.CONTROL records from live to history and deletes the live record VAULT.PROCESSING FIN
166 SEC.OPEN.ORDER.SERVICE.POST Create EXE and SEC.TRADE record from SEC.OPEN.ORDER.SERVICE.POST work file SEC.OPEN.ORDER.SERVICE FIN
167 SC.EOD.UPD.SETT.DATE Updates the NEXT.SETT.DATE and LAST.SETT.DATE fields in SECURITY.POSITION and SC.STOCK.POSITION SC.BATCH.APP FIN
168 BOND.LENT.MASTER.EOD Updates SECURITY.POSITION for the corresponding record of BOND LENT MASTER SC.BATCH.START FIN
169 SC.EOD.BLK.SEC This EOD routine selects record from the SECURITY.POSITION file which becomes active on the working day and then updates the block on the SECURITY.POSITION and removes the date from the record SC.BATCH.SOD.CA FIN
170 AM.SC.MOVEMENT It is one of the job in AM.SC.MOVEMENT batch which calls both this routines(ORDER.BY.CUST.RUN and AM.REBALANCE.RUN) in sequence. AM.SC.MOVEMENT FIN
171 EOD.DIV.WARN.LIST Job to setup dividend requests for a security which is within the date range specified in SC.PARAMETER SC.BATCH.REP FIN
172 SC.PRICE.MOVE.EXCEPTION Updates PRICE.MOVEMENT file SC.BATCH.REP FIN
173 SC.GENERATE.MT536 Generates the MT536 Statement of transaction advice SC.MT536.DELIVERY FIN
174 SC.GENERATE.MT536 Generates the MT536 Statement of transaction advice SC.BATCH.STMT FIN
175 WRITE.SC.VAL.EXTRACT.POST It is a multi threaded routine to consolidate all the valuation Id to the respective portfolio SC.VAL.EXTRACT FIN
176 SC.SETTLEMENT.SERVICE Performs the updates to the broker unsettled fields in the customer Security Positions and Security Trans records SC.SETTLEMENT.SERVICE FIN
177 EOD.AUT.REDEM.REQ Generates automatic redemption requests for maturity dates falling within the start and end dates SC.ONLINE FIN
178 PURGE.OPEN.ORDER.DETAILS.POST Removes record from work file that were used to tidy up the SC.SOO.CUST.DETAIL file after the parent SOO was moved to $HIS. SC.BATCH.APP FIN
179 SC.EXT.SAFEKEEP.ACTIVITY Updates SC.SAFEKEEP.ACTIVITY which is used to calculate safekeeping fees. SC.SYS.END.OF.DAY FIN
180 SC.PARENT.CHILD.EXE This subroutine executes child records on execution of parent record SC.PARENT.EXECUTION FIN
181 SC.SETTLEMENT.SERVICE.POST End of sc.settlement processing service delete all the records from the processing file SC.SETTLEMENT.SERVICE FIN
182 SC.BULK.CHILD.UPDATE Updates Certain fields from parent order/trade to child order/trade. SC.PARENT.CHILD.PROCESSING FIN
183 SC.CPMF.SKF.PRATA.CALC Calculates Safekeeping fees on Grouped portfolios with charge type as PRORATA. SC.SYS.END.OF.DAY FIN
184 SC.UPDATE.TRN.CON.DATE Updates TRN.CON.DATE from TRN.CON.DATE.TODAY if LOCAL.TRADING in SC.PARAMETER is set SC.BATCH.APP FIN
185 SC.EOD.BULK.PROCESS END OF DAY BULK PROCESSING SC.BULK.TRADE FIN
186 SC.EOD.BULK.PROCESS END OF DAY BULK PROCESSING SC.BATCH.APP FIN
187 SR.AUTOMATCH.SERVICE Matches the records in SR.HOLDINGS SR.AUTOMATCH.SERVICE FIN
188 SC.SOD.ACCR.ACCT Generates monthly accrual accounting entries SC.BATCH.START FIN
189 SEC.TRADE.SERVICE.POST Updates details to sec.trade through service SEC.TRADE.SERVICE FIN
190 SC.EOD.POS.ASSET.HIS Program to copy all transactions of SC.POS.ASSET.WORK to SC.POS.ASSEST.WORK.HIS file. The program SC.EOD.ASSET.WORK.HIS is now obsolete. SC.SYS.END.OF.DAY FIN
191 SC.OFS.BUILD.SEC.TRADE Generates SEC.TRADE transaction SC.REINVEST.SERVICE FIN
192 SC.OFS.BUILD.SEC.TRADE Generates SEC.TRADE transaction SC.ONLINE FIN
193 SR.TIDY.MSGS Subroutine to move ad hoc message data from live to history files SC.BATCH.RECON CUS
194 SC.PORT.CONST.CON.BUILD Record routine for SC.PORTFOLIO.CONSTRAINT.BUILD SC.PORT.CONSTRAINT.BUILD INT
195 SC.CLEAR.TRANS.REVAL Clears SC.TRANS.REVAL work file SC.BATCH.APP FIN

U

EOD.PERFORM.UPDATE Updates SC.PORT.PERFORM quartely from SC.FUND.FLOW SC.BATCH.REP FIN
197 SP.AGGREGATE.TRADE.AUTHORISE Authorises the aggregated trade created for consolidated Nostro posting, This should be run only if MT515 is not used to authorise aggregated trade. SP.AGGREGATE.TRADE.AUTH FIN
198 SC.SAFE.FEES.CREATE Posts fees as a service SC.SAFE.FEES.POST FIN
199 SC.OL.VAL.MASTER Processes the group and update the position in SC.GROUP.POS.ASSET SC.GROUP.VALUATION FIN
200 SC.OL.VAL.MASTER Processes the group and update the position in SC.GROUP.POS.ASSET SC.SYS.END.OF.DAY FIN
201 SC.TRAIL.FEES.UPD.BV.EXTRACT Updates the Extract record with BV.NO.NOMINAL and BV.V.DATE.NOMINAL SC.TRAIL.FEES.BV.UPDATE CUS
202 SC.TRAIL.FEES.UPD.BV.EXTRACT Updates the Extract record with BV.NO.NOMINAL and BV.V.DATE.NOMINAL SC.SYS.END.OF.DAY FIN
203 VAULT.EXPECT.AUTHORISE Updates VAULT.TODAY VAULT.PROCESSING FIN
204 SC.TRANS.REVAL.PROCESSING Revaluates at transaction level SC.BATCH.APP FIN
205 SC.SM.INT.RATE.UPD Updates interest rate in SECURITY.MASTER SC.BATCH.START FIN
206 SC.CONV.ENTL.NAU.ACCTNG Generates accounting entries for entitlements SC.CONV.ENTL.NAU.ACCTNG FIN
207 SC.SOD.NAU.DIARY.ARCH Subroutine that deletes the records in SC.PRE.DIARY$NAU or put the live file in history file if the arch.date is raised SC.BATCH.SOD.CA FIN
208 SC.BULK.CHILD.AUTH.POST Authorises all the parent orders/trades SC.PARENT.CHILD.PROCESSING FIN
209 SC.SETTLE.EOD.HLD Moves settlement transactions that are considered as free receipts to Hold during COB SC.BATCH.APP FIN
210 EOD.SC.VAL.FREQUENCY Produces valuation reports based on customer security frequency SC.BATCH.VAL FIN
211 SC.BLD.UPFRONT.POSITION.SERVICE Creates multiple security transfer records SC.BLD.UPFRONT.POSITION.SERVICE FIN
212 SC.SEC.TIME.SERIES.UPDATE Updates SC.SEC.TIME.SERIES on a daily basis if MAINT.TIME.SERIES is set in SM.PARAMETER SC.CLEAR.CASHFLOW FIN
213 SC.OVER.SUBSCRIPTION.SERVICE Over subscription Service SC.OVER.SUBSCRIPTION.SERVICE FIN
214 SC.UPD.RECALC.FEES.ARRANGEMENT Recalculates the extracts with average price provided by issuer SC.RECALC.TRAIL.FEES CUS
215 SC.UPD.RECALC.FEES.HOLDING Updates Recalculated fees by average price in Holding SC.RECALC.TRAIL.FEES CUS
216 SC.ONLINE.SETT.DATE.ACCTG This is the record routine for the batch job SC.ONLINE.SETT.DATE.ACCTG SC.ONLINE.SETT.DATE.ACCTG FIN
217 SC.SWITCH.TRANSMISSION   SC.GRP.ORD.SERVICE FIN
218 SC.GEN.PRE.DIARY.ADV
  • This is the record routine for the batch job SC.GEN.PRE.DIARY.ADV.
  • This routine generates the notification/advice using details from SC.PRE.DIARY
  • Records and updates the ENTITLEMENT.PRE.DIARY file with the details of notification message sent.
SC.GEN.PRE.DIARY.ADV FIN
219 SR.EOD.RECON Subroutine to automatically send a SWIFT MT570 (MT549) requesting an MT571 (MT535) for all DEPOSITORIES due to be reconciled. Run as part of the End of Day batch. SC.BATCH.RECON CUS
220 SC.IPO.ORDER.ACCTG Generates entries during COB SC.BATCH.APP FIN
221 SC.SOD.CREATE.CHILD.DIARY Creates Child diary when Parallel Trading is set SC.ONLINE FIN
222 SC.SOD.MT565.GEN Generates MT565 automatically when MT565.AUT.DATE is set Today SC.ONLINE FIN
223 SC.SOD.PRE.DIA.AUTH Authorises Pre Diary records that have AUTO.AUTH.DATE field set to today. SC.ONLINE FIN
224 SC.UPD.ENT.NOMINAL Updates Prorated Nominal in Entitlement records SC.PRORATE.ENT.NOMINAL FIN
225 SC.UPD.ENT.NOMINAL.POST Updates Difference quantity in Diary and create SC.ENT.AUTHORISE SC.PRORATE.ENT.NOMINAL FIN
226 SC.PE.POST.MGMT.FEES Creates the management fees record based on the frequency specified in PE.PRODUCT.EVENTS SC.SYS.END.OF.DAY FIN
227 SC.PE.POST.MGMT.FEES.POST Post routine for the job SC.PE.POST.MGMT.FEES SC.SYS.END.OF.DAY FIN
228 PE.UPDATE.MGMT.FEES Updates PE.MANAGEMENT.FEES as COMPLETE PE.UPDATE.MGMT.FEES FIN
229 SC.EOD.BUILD.CG.PORTFOLIO Builds CG.PORTFOLIO SC.BATCH.APP FIN
230 SC.RECALC.EXCH.CG.PORTFOLIO Updates the CG.PORTFOLIO based on the Exchange Rate given for the corresponding Period End SC.RECALC.EXCH.CG.PORT FIN
231 SC.UPDATE.CPL.STATUS Updates the Status and number of records selected in CG.PORTFOLIO.CALC after recalculation SC.RECALC.EXCH.CG.PORT FIN
232 DX.ARCHIVAL.SERVICE Archival of DX transaction DX.ARCHIVAL.SERVICE FIN
233 SY.ARCHIVAL.SERVICE Archival of SY transactions SY.ARCHIVAL.SERVICE FIN
234 SC.BUILD.CG.TXN.ENHLIFO Updates the CG.TXN.BASE.ENHLIFO after the Dividend event SC.BUILD.CG.TXN.ENHLIFO FIN
235 SC.BUILD.CG.TXN.LIFO Builds the CgTxnBaseLifo table SC.BUILD.CG.TXN.LIFO FIN
236 SC.UPD.FC.CG.PORTFOLIO Updates Franking Credits in CG.PORTFOLIO CG.PORTFOLIO.BUILD FIN
237 SC.UPD.FC.CG.PORTFOLIO Updates Franking Credits in CG.PORTFOLIO SC.BATCH.APP FIN
238 SC.UPD.SALE.TXN.ENHLIFO This is a Multithreaded job that runs as Temenos Transact service to rebuild CG.TXN.BASE.ENHLIFO record based on the sale transaction involved for each CG.TXN.BASE. SC.UPD.SALE.TXN.ENHLIFO FIN
239 SC.UPD.SALE.TXN.ENHLIFO.POST Delete all the contents from the workfile after processing of CG.TXN.BASE.ENLIFO SC.UPD.SALE.TXN.ENHLIFO FIN
240 CG.FETCH.BASE.IDS Fetch IDs for Reallocate Base CG.REALLOCATE.TXN.BASE FIN
241 CG.REBUILD.TXN.BASE Rebuild CG.TXN.BASE CG.REALLOCATE.TXN.BASE FIN
242 CG.UPD.REALLOCATE.STATUS Change the Status to PROCESSED CG.REALLOCATE.TXN.BASE FIN
243 CG.BUILD.CG.PORTFOLIO Process of building the CG.PORTFOLIO CG.PORTFOLIO.BUILD FIN
244 CG.BUILD.CG.PORTFOLIO.POST Post processing to identify Session records of CG.PORTFOLIO and rebuilding data CG.PORTFOLIO.BUILD FIN
245 CG.PORT.BUILD.FETCH.BASE.IDS Fetch IDs for Portfolio Build application CG.PORTFOLIO.BUILD FIN
246 SC.UPD.PORT.DORM.STATUS Updates dormancy status of portfolio based on dormancy period setup SC.BATCH.APP FIN
247 SC.CHK.CTDY.CA.ADVICE This routine gets the entitlement ids for the pre diary or diary record and check whether to generate the message against SC.CTDY.CA.ADVICE application SC.GEN.CTDY.DELIVERY FIN
248 SC.UPD.CTDY.CORP.ACTION This routine simulates the entitlement record to build SC.CTDY.CORP.ACTION and trigger the generation of outward message SC.GEN.CTDY.DELIVERY FIN
249 SC.SOD.MT564.GEN SC.SOD.MT564.GEN SC.ONLINE FIN
250 SC.BULK.CUSTODIAN.TRANSFER Creates multiple Position Transfer records based on Bulk Transfer SC.BULK.TRANSFER.SERVICE FIN
251 SC.BULK.TRANSFER.POST Consolidates the transaction status details in Bulk Transfer SC.BULK.TRANSFER.SERVICE FIN
252 SC.BULK.SETTLEMENT Performs bulk settlement of Position Transfer generated through SC.BULK.TRANSFER SC.BULK.POSITION.TRANSFER FIN
253 DFE.OUTWARD.FILE.EXTRACT Generates report based on setup in DFE.PARAMETER and DFE.MAPPING SCDX.ONLINE.REPORTS FIN
254 DFE.OUTWARD.FILE.EXTRACT.POST Frames the header and trailer details in the report SCDX.ONLINE.REPORTS FIN
255 SC.INC.RECLASSIFICATION Reclassifies the income defined in diary post the event SC.INC.RECLASSIFICATION FIN
256 SC.INC.RECLASSIFICATION.POST Deletes the record from income reclassification file once the income classification is processed SC.INC.RECLASSIFICATION FIN

Structured Products (SY)

S.No Job Name Description of Job Batch name Classification
1 SY.COB.CHECK.PROCESSED Checks the automatic processing of rolling or scheduled Structured Products Events. This job is common to three phases of the close of business (COB) start of day and online. The DATA field is used to pass in details of which COB phase we are running in: "APPLICATION" "START.OF.DAY" or "ONLINE" respectively. This job is passed the list of SY.EVENT records processed by the previous job SY.COB.PROCESS.EVENTS and reports an error in SY.EVENT.ERRORS if the last run date recorded on the event is less than the system date. SY.CLOSE.OF.BUSINESS FIN
2 SY.COB.CHECK.PROCESSED Checks the automatic processing of rolling or scheduled Structured Products Events. This job is common to three phases of the COB start of day and online. The DATA field is used to pass in details of which COB phase we are running in: "APPLICATION" "START.OF.DAY" or "ONLINE" respectively. This job is passed the list of SY.EVENT records processed by the previous job SY.COB.PROCESS.EVENTS and reports an error in SY.EVENT.ERRORS if the last run date recorded on the event is less than the system date. SY.START.OF.DAY FIN
3 SY.COB.CHECK.PROCESSED Checks the automatic processing of rolling or scheduled Structured Products Events. This job is common to three phases of the COB start of day and online. The DATA field is used to pass in details of which COB phase we are running in: "APPLICATION" "START.OF.DAY" or "ONLINE" respectively. This job is passed the list of SY.EVENT records processed by the previous job SY.COB.PROCESS.EVENTS and reports an error in SY.EVENT.ERRORS if the last run date recorded on the event is less than the system date. SY.ONLINE FIN
4 SY.COB.PROCESS.EVENTS Automatically triggers the processing of rolling or scheduled Structured Products Events. This job is common to three phases of the COB start of day and online. The DATA field is used to pass in details of which COB phase we are running in: "APPLICATION" "START.OF.DAY" or "ONLINE" respectively. Selects all SY.PRODUCT records that are not terminated and then for each product attempts to process each event in turn provided that the event is scheduled or rolling the event is due to run on or before the system date and the COB.PHASE on the event matches the current COB phase. The event is input and authorised with PROCESS flag set if all these conditions are met and the record key is passed to the next job for verification. SY.CLOSE.OF.BUSINESS FIN
5 SY.COB.PROCESS.EVENTS Automatically triggers the processing of rolling or scheduled Structured Products Events. This job is common to three phases of the COB start of day and online. The DATA field is used to pass in details of which COB phase we are running in: "APPLICATION" "START.OF.DAY" or "ONLINE" respectively. Selects all SY.PRODUCT records that are not terminated and then for each product attempts to process each event in turn provided that the event is scheduled or rolling the event is due to run on or before the system date and the COB.PHASE on the event matches the current COB phase. The event is input and authorised with PROCESS flag set if all these conditions are met and the record key is passed to the next job for verification. SY.START.OF.DAY FIN
6 SY.COB.PROCESS.EVENTS Automatically triggers the processing of rolling or scheduled Structured Products Events. This job is common to three phases of the COB start of day and online. The DATA field is used to pass in details of which COB phase we are running in: "APPLICATION" "START.OF.DAY" or "ONLINE" respectively. Selects all SY.PRODUCT records that are not terminated and then for each product attempts to process each event in turn provided that the event is scheduled or rolling the event is due to run on or before the system date and the COB.PHASE on the event matches the current COB phase. The event is input and authorised with PROCESS flag set if all these conditions are met and the record key is passed to the next job for verification. SY.ONLINE FIN
7 SY.COB.CLEAR.OFSDET Selects all records in the OFS.REQUEST.DETAIL table. If the OFS.SOURCE record as referenced in SY.PARAMETER has MAINT.MSG.DETS set to 'Y' deletes each OFS.REQUEST.DETAIL record with the prefix as specified in the field DET.PREFIX. SY.CLOSE.OF.BUSINESS FIN
8 SY.MTM.POSTING
  • This routine gets the SY.PRODUCT id as incoming argument and finds whether MTM is required, or not.
  • If MTM is required then fetch the SYDX.MARKET.VAL key and get the MTM that is Updated in SYDX.MARKET.VAL record.
  • Build the accounting entry for the MTM amount by calling SY.MTM.BUILD.ENTRY and then pass the accounting array to EB.ACCOUNTING to generate the accounting entries.
SY.MTM.POSTING FIN
9 SY.STATIC.CHANGES CONSOL.KEY.TYPE Static change update for SY applications SY.CLOSE.OF.BUSINESS FIN
10 SY.COB.ACCRUED.INT Calculates accrued interest based on the transaction attributes SY.CLOSE.OF.BUSINESS FIN

Teller (TT)

S.No Job Name Description of Job Batch name Classification
1 TELLER.EOD.2 Moves Teller contracts to history based on AUTH.DATE . Selection file : TELLER TT.END.OF.DAY FIN
2 PB.CONS.STMT.UPDATE   TELLER.PASSBOOK.STMT FIN
3 TELLER.STMT.UPDATE Updates ACCOUNT.STATEMENT for passbook accounts based on TELLER.PBOOK.PRINTED update ACCOUNT.STMT and deletes it. Selection file: TELLER.PBOOK.PRINTED TELLER.PASSBOOK.STMT FIN

Transaction Restriction (TZ)

S.No Job Name Description of Job Batch name Classification
1 TZ.STOP.INSTR.AC.TAKEON Converts Account based Concat file for Stop Instruction into Customer based file TZ.STOP.INSTR.AC.TAKEON FIN
2 TRANS.STOP.ARCHIVE Moves the Stop Instruction to either EXPIRED status or to History TRANS.STOP.ARCHIVE FIN

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Published on :
Tuesday, May 28, 2024 5:22:57 PM IST