en:app:020cor:070ovs:010pty:0820pte

PTE - Liability Sub Contract

Module PTE


Datafields

Name Helptext Description Data Type Len Codetable
INR Internal Unique ID Text 8
OBJTYP Object Type Text 6 CBOTXT
OBJINR Object INR Text 8
SUBID Sub ID to Identify Multiple PTE per PTS Text 4
ALLNETID Sub ID to Identify Multiple Installments for AllNet Text 4
CBTPFX Type of Liability Text 3 Embedded
GRPKEY Liability Group Text 6 Embedded
EXTID External Entry ID within Object Text 16
LIAPTYINR Party for Liability Text 8
LIAFCLINR Facility Limit INR Text 8
LIAFCLBUSINR Facility Limit INR Text 8
LIAPTAINR Address for Liability Text 8
CDTPTSINR INR of PTS of Party Credited (Optional) Text 8
OWNREF Own Reference Text 20
NAM Name Text 40
FEEINR Fee to be Calculated (Optional) Text 8
BEGDAT Settle from (including) for Fee Calculation Date 12
CLSDAT Date Closed Date 12
SETDAT Settle until (excluding) for Fee Calculation Date 12
NXTCOMDAT Next Commission Due for Fee Calculation Date 12
ROLPAY Role to Pay Fees for Fee Calculation Text 3 <fixed-length>
MATDAT Maturity Date (Optional) Date 12
COVTYP Type of Cover (Optional) Text 1 Embedded
PRC Percentage of Assignment (only for Assignments) Numeric 8
AMTFLG Amount Flag (only for Assignments) Text 1 Embedded
VER Version Text 4
LSBTYP Type of limit to be used Text 6 Embedded
CCVROL CashCover Role Text 3 <fixed-length>
LIAFCLROL Facility limit role Text 3
CCVACC CashCover Account Text 34
TRFRSKAMTFLG Amount Flag Text 1 Embedded
INTTRFAMTFLG Amount Flag Text 1 Embedded
INTDELAMTFLG Amount Flag Text 1 Embedded
SNDSTAFLG Syndication status Text 3 Embedded
SNDPTEINR Syndication Link to PTE of primary contract Text 8
ETYEXTKEY Entity Text 8
ASGTXT Comments for Assignee (only for Assignments) Block 40
ASBTXT Comments for Assignees Bank (only for Assignments) Block 40
INVISSDAT Invoice date Date 16
SYSAMT Converted amount in SYSISO Numeric 18
SYSRAT Used middle rate Numeric 14
INVMATDAT Due date of the invoice Date 16

Datafield Description and Properties


Datafield INR Internal Unique ID

Unique internal ID of a record within the table. The INR is a text field, which is created by retrieving the next valid entry from the counter of this table. The field INR is used to enable links from other tables to this table.

For contractdata the INR also links the two tables xxD and xxT as associated entries hold the same INR.


Datafield OBJTYP Object Type

Type of object the PTE entry refers to. This is the table the object is stored in, which is always PTS.


Datafield OBJINR Object INR

INR of the owning PTS entry.


Datafield SUBID Sub ID to Identify Multiple PTE per PTS

Sub ID to Identify Multiple PTE per PTS


Datafield CBTPFX Type of Liability

Codetable
Code Text
AVL Liability
AKZ Acceptance
DPZ Deferred Payment obligation
FIN Financing
AVS Silent confirmed Liability
AVA Aval Acceptance
SYN Syndication
SDE Syndication
FIO Financing Reservation
UPA Usance Payable at Sight/ Usance

Datafield GRPKEY Liability Group

Group key of line used to identify group structure entries that are independent of the liability type.

The group key is usually the liability type; additional types may also be used to handle entries with several liability type options (e.g. tenor handling) or different target parties (e.g. for transfers or assignments).

Thus, the embedded codetable should hold the values of liability types plus some special values. Only special codes are listed in this codetable.


Datafield EXTID External Entry ID within Object

The external ID used for Contract Balance Sheet entries created.


Datafield LIAPTYINR Party for Liability

Unique ID of the relevant party.


Datafield LIAPTAINR Address for Liability

Unique ID of the relevant party address.


Datafield CDTPTSINR INR of PTS of Party Credited (Optional)

Optional field to specify the role to receive credited amounts when closing the liability.


Datafield OWNREF Own Reference

This field contains the reference of the liability sub-contract.


Datafield NAM Name

Name of Liability Contract


Datafield FEEINR Fee to be Calculated (Optional)

Unique ID of the fee used in periodic calculations. This is an optional field and can be left empty.


Datafield BEGDAT Settle from (including) for Fee Calculation

Start date for calculating commission. If not set, commission is not calculated for the liability.


Datafield CLSDAT Date Closed

This date is set if the PTE amount is reduced to zero. This fields indicates the closing date of a contract. If an entry has been made, the contract is closed and may no longer be used to process business transactions except special transactions like Settling Charges or Common Messages.


Datafield SETDAT Settle until (excluding) for Fee Calculation

End date for settlement of commission. If not set, commission is not calculated for the liability.


Datafield NXTCOMDAT Next Commission Due for Fee Calculation

Date for settlement of the next commission. If not set, the commission is not calculated for the liability. If the settlement is payable in advance, the value is equal to the value of in the Settle until field. If the settlement is payable in arrears, a settlement period is added.


Datafield ROLPAY Role to Pay Fees for Fee Calculation

Role for paying commissions. If it is not set, commissions are not calculated for the liability.


Datafield MATDAT Maturity Date (Optional)

Optional field to hold the maturity date of this tenor.


Datafield COVTYP Type of Cover (Optional)

Optional code to describe the type of cover.

Usually used to determine the fee to be used for periodic fee calculation.

Codetable
Code Text
E covered external
no cover
C covered by cash

Datafield PRC Percentage of Assignment (only for Assignments)

Percentage of assignment as entered in transaction.


Datafield AMTFLG Amount Flag (only for Assignments)

This internal flag determines, whether the assignment is stored as an amount or a percentage of contract maximum amount.

Codetable
Code Text
not decided
A Amount
P Percent

Datafield VER Version

This field holds the version counter used to keep track of the history of an entry of this table. The individual versions are managed by entries in the SLG table.


Datafield LSBTYP Type of limit to be used

Type of limit to be connected with actual liability line. Empty: User standard limit “CCV”: Cash Cover limit

Codetable
Code Text
Standard Limit
CCV Cash Cover

Datafield CCVROL CashCover Role

The role available in the contract to whom the cash cover has been assigned.


Datafield ASGTXT Comments for Assignee (only for Assignments)

If assignment of proceeds is input, this field contains the comments for the assignee.


Datafield ASBTXT Comments for Assignees Bank (only for Assignments)

If assignment of proceeds is input, this field contains the comments for assignee's bank.


Datafield INVISSDAT Invoice date

The invoice date is used in the business sectors of Advances and Loan if the advance type is 'Bankers Acceptance' or 'ECR Financing'.


Datafield SYSAMT Converted amount in SYSISO

Converted amount in SYSISO


Datafield SYSRAT Used middle rate

Reference to this rate might be taken by exchange rate type “M”.


Datafield INVMATDAT Due date of the invoice

The invoice date is used in the business sectors of Advances and Loan if the advance type is 'Bankers Acceptance' or 'ECR Financing'.


Datafield ALLNETID Sub ID to Identify Multiple Installments for AllNet

Used as numer for insallments in AllNet. Only set for PTEs of type AKZ,DPZ and DPU in sascending order per contract.


Datafield CCVACC CashCover Account

The hold account in which the cash cover is held with a credit note.


Datafield TRFRSKAMTFLG Amount Flag

In this internal flag is stored, if the assignment is stored as amount or percentage of contract maximum amount.

Codetable
Code Text
A Amount
P Percent
Not decided

Datafield INTTRFAMTFLG Amount Flag

In this internal flag is stored, if the assignment is stored as amount or percentage of contract maximum amount.

Codetable
Code Text
Not decided
A Claim Requested
P Booked In Claim

Datafield INTDELAMTFLG Amount Flag

In this internal flag is stored, if the assignment is stored as amount or percentage of contract maximum amount.

Codetable
Code Text
Booked Out Claim
A Amount
P Percent

Datafield SNDSTAFLG Syndication status

Codetable
Code Text
Not Syndicated
P Pending (Liability Approval)
O Offered
R Rejected
BIU Booked In Unfunded
BOU Booked Out Unfunded
FR Funding Requested
BIF Booked In Funded
BOF Booked Out Funded
C Claim Requested
BIC Booked In Claim
BOC Booked Out Claim
PC (Partial) Claim(s) Present

Syndication Link to PTE of primary contract


Datafield LIAFCLINR Facility Limit INR

In case facility limit is used this field contains the INR of the used Limit (LSB) entry.


Datafield LIAFCLBUSINR Facility Limit INR

In case facility limit with business sector is used this field contains the INR of the used Limit (LSB) entry.


Datafield LIAFCLROL Facility limit role

The role of the party on whom the limit is blocked.


Datafield ETYEXTKEY Entity

This field holds the external key of the owning entity to identify the logical owner of this entry.

This field is filled automatically during insert and is used as filter when accessing the database. Without special implementation only entries of the currently active entity are visible to the user.

en/app/020cor/070ovs/010pty/0820pte.txt · Last modified: 2022/12/09 15:47 (external edit)