How to Map ALM Cash Flows Attributes for Repo Contracts
Last updated on JANUARY 21, 2017
Applies to:Oracle Financial Services Asset Liability Management - Version 184.108.40.206 and later
Information in this document applies to any platform.
Oracle Financial Services Analytical Applications (OFSAA)
Oracle Financial Services Asset Liability Management (ALM)
Is there any documentation on how to map the repo and reverse repo contracts in ALM, i.e. what T2T (Table to Table) to use, how to source these tables or how to map the cash flow attributes in the STG_REPO_CONTRACTS table?
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