3.5.2 Trade Re-assignment
This topic describes about trade re-assignment.
‘Trade Re-assignment’ Dashboard displays the list of trade contracts, which are
on-hold. The Trade Supervisor of the bank can checks the number of contracts available
with each User and can reassign the contracts to a different User, if needed. The
Dashboard displays the following transaction details, after verifying the DFI mapped and
validating if the ‘Show Dashboard’ check box is checked:
A hyperlink is provided to the ‘Contract Reference’ column. Click the link to invoke the corresponding ‘Trade Re-assignment’ screen with the contract details processed by the user.
- User Id
- Contract Reference
- Account
- Module
- Currency
- Amount
- Product
A hyperlink is provided to the ‘Contract Reference’ column. Click the link to invoke the corresponding ‘Trade Re-assignment’ screen with the contract details processed by the user.
Parent topic: Trade Supervisor Dashboard