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  1. Download the Import template
    1. Expand
      titleTemplate

      View file
      nameDerivatives_Futures_Template.csv
      height250

  2. Enter all data needed to be imported.
  3. From Risk Management | Derivative Entry clink on Import
  4. When Import screen opens, click on Browse and select the csv file then click the Import button
  5. Field Defination
    1. Column NameData TypeRequirements
      BrokerAlphanumeric characters
      • Broker Field in the Brokerage Accounts 
      • Entered data in the spread should be existing in the current records.
      AccountNumberAlphanumeric characters
      • Account Number in the Brokerage Accounts 
      MarketNameAlphanumeric characters
      InstrumentTypeAlphanumeric characters
      CommodityCodeAlphanumeric characters
      LocationNameAlphanumeric characters
      SalespersonAlphanumeric characters
      CurrencyAlphanumeric characters
      BrokerTradeNoAlphanumeric characters
      BuySellAlphanumeric characters
      NoOfContractNumbers
      FutureMonthAlphanumeric characters
      OptionMonthAlphanumeric characters
      OptionTypeAlphanumeric characters
      StrikeNumbers
      PriceNumbers
      ReferenceAlphanumeric characters
      StatusAlphanumeric characters
      FilledDateDate
      BookAlphanumeric characters
      SubBookAlphanumeric characters
      CreateDateTimeDate
    Field Definition and Requirements

Options

  1. Download the Import template
    1. Expand
      titleTemplate

      View file
      nameDerivatives_Options_Template.csv
      height250

  2. Field Definition and Requirements