D.3.2.1 Equity Validation
Trade transaction is allowed Only if Sum of Equity in itemization of new
Accounts = Sum of Trade Equity of existing (old) Accounts = Sum of Equity Transfer
Amount in Trade Details.
- If Equity Validation is successful, Trade transaction is processed with
following changes on respective accounts:
Table D-1 Equity Validation
Changes to Existing (old) Account Changes to New Account - Trade Details is populated with Equity Transfer details.
- TRADE EQUTY is recalculated and updated based on Transaction Date.
- TRADE Transaction is posted and Equity Transfer details status is updated to COMPLETED.
- Trade related EQUITY OUT TRANSFER transaction is posted with Equity Transfer Amount. For more information, refer to Equity Out Transfer Transaction section.
- ACH processing is stopped.
- One last metro II reporting is generated with account status as PAID-OFF.
- Future billing is stopped.
- Adjust minus transaction is posted.
- Account status is updated as TRADED. This status indicates that there is no more Trade Equity available on the account.
- Trade Details is populated with Equity Transfer details.
- EQUITY IN TRANSFER transaction is posted with traded transaction amount. For more information, refer to Equity In Transfer Transaction section.
- Status of Trade Details is updated to COMPLETED.
- If Equity Validation fails, Trade transaction is not processed and following
updates are posted on respective accounts. However, a failed Equity Validation
can be manually corrected as explained in Error Rectification section.
Table D-2 Equity Validation
Changes to Existing (old) Account Changes to New Account - Status of Trade Details is updated to FAILED.
- TRADE MISMATCH transaction is posted along with a condition - EQUITY MISMATCH DURING TRADE.
Status of Trade Details is updated to FAILED.
Parent topic: Trading of Timeshare