Sosialisasi Pengembangan Sistem Pengelolaan Investasi Terpadu Persiapan Back Office & Infrastruktur IT
Jakarta, 3-4 Nov 2015
Agenda • Latar Belakang dan Tujuan • Project Overview, Scope & Timeline
• Aplikasi – NFS Modules – Identifikasi Pengembangan Back Office
• Infrastruktur IT – – – –
Konfigurasi & Perangkat Jaringan H/W Specification Perangkat OTP Estimasi biaya
• What’s Next
Latar Belakang dan Tujuan Latar Belakang
•
•
Kondisi Pasar Reksadana saat ini : • Tidak ada standarisasi dalam pengelolaan dan pengadminstrasian Reksadana • Proses manual yang tidak efisien dengan menggunakan kertas, fax, email sebagai wahana komunikasi utama • Tidak ada informasi kepemilikan investor yang terkonsolidasi Kebutuhan adanya sistem yang mengintegrasikan seluruh proses bisnis reksadana yang otomatis, efisien dan terpadu.
Tujuan
• • • •
Electronic distribution channel: meningkatkan efisiensi aktifitas operasional Centralized registry center: penggunaan SID untuk identitas investor Reksa Dana Data integrator: integrasi data dari agen penjual, Manajer Investasi, Bank Kustodian, Perusahaan Efek Single platform: pre matching, messaging hub, market monitoring, reporting
Current Condition
Investors
Regulator
SA 1
Order Routing RD Subscription Redemption Switching
2
2 3
IM
CB 6
5
Broker (SC/Bank)
4
Bank
• Securities purchase/sale transaction for Fund’s portfolio • Time Deposit placement in Banks
4
Centralised New Fund System
SA
SA
SA
CB
CB
Investor
BR
Investor
NFS
BR
Bank IM
IM
Bank
IM
5
Project Overview
Project Title Project Period Project Objective Project Approach
New Fund System (NFS) Development Project Business Consultancy : Nov 2014 – May 2015 System Development : Jun 2015 – Aug 2016 To make Indonesia Fund Market industry more efficient by providing an integrated and centralised New Fund System
Based on Fund-Net
Participant Driven
Cooperative Development
6
Institusi / Pihak Terkait
KSD
BR
OJK
KSEI
SA
Securities Company Association
Selling Agent Bank Association
CB Custodian Bank Association
IM Investment Manager Association
7
Project Organisation Structure Working Group Steering Committee OJK KSEI
Project Director OJK KSEI Audit & Risk Management KSEI
Project Manager KSEI
Project Administrator KSEI
Business Unit OJK KSEI Associations
Technical Unit OJK KSEI Associations
Business Consultant & SysDev : KSD PM Teams (TF, KCP, ITA)
Vice Project Manager KSEI
Operational Unit OJK KSEI Associations
Legal Unit OJK KSEI Associations
Support Unit KSEI
8
Project Time Line 2015
2016
Rules / Regulation ( OJK , KSEI )
H/W , S/W Procurement & Installation
Signing 5th June
Nov
7 months
Apr
May
Design Study - SRS - SyRS
Jun
Aug
System Development
Oct
Nov
Dec
5 months
Feb
Mar
Go Live
Working Group (OJK, Association, KSEI)
UAT
BRS (Business Requirement Specification)
Socialization IT
Preparation Migration
Member’s Back Office Enhancement
Socialization Business
MOU with KSD
OJK approval
Training
Contract KSEI-KSD
RMR
Testing
2014
Jun Jul Aug
5 months
4 months SRS : Software Requirement Specification SyRS : System Requirement Specification
9
Ruang Lingkup NFS
10
Static Data Membership / Role
Fund / Securities
• Selling Agent • Investment Manager • Custodian Bank • Broker
• Conventional Fund * • Private Equity Fund • ETF
Accounts • Fund Unit Account • Investor Fund Unit Account • Fund Cash Account • KSEI cash Account
Parameters • Currency • Calendar • Mid-rate • Settlement window
*) Conventional Fund : Reksadana Pasar Uang, Reksadana Saham, Reksadana Pendapatan Tetap, Reksadana Campuran, Structured Fund (Protected Fund, Guaranteed Fund dan Index Fund) 11
Member Role • Pengelolaan Rekening Investor • Menerima Instruksi Subscription, Redemption, Switching dari Investor • Mengirimkan detail instruksi kepada partisipan terkait melalui NFS
• Memberikan approval atau rejection atas instruksi subscription, redemption, dan switching • Memberikan informasi terkait distribution income dan likuidasi Reksa Dana kepada Partisipan terkait melalui NFS • input trade allocation details ke NFS • Generate settlement instructions untuk broker dan Bank Kustodian melalui NFS
• • • • •
Investment fund accounting Unit holder list management Input unit allocation dan unit balance input NAV Menerima settlement instruction dan OTC instruction melalui NFS
• Input block ETC dan/atau trade confirmation details • Menerima settlement instruction dan OTC instruction yang dihasilkan oleh NFS
12
Static Data : Fund Code
Format Kode Reksadana:
Kode MI
FM001 FT S MFNAME XX Syariah/Konvensional
Kode Tipe Reksadana
Series Nama Reksadana
Kemungkinan diperlukan mapping antara existing Fund code dengan Fund Code baru dengan format standard di NFS. Panjang 16 Digit alphanumeric. Fund Code dibuat oleh Bank Kustodian.
13
Pembukaan Fund Unit Account dan Pembentukan SID untuk Investor baru
1. Pendaftaran
3. Pengiriman Data
8. Unik SID
7. Unik SID 2. KYC dan input/upload data dalam sistem
Catatan: • • • • •
4. Pengiriman Data
6. Unik SID
5. Generate atau crosslink SID
KYC dilakukan oleh Agen Penjual SID akan dihasilkan oleh sistem KSEI. SID terintegrasi dengan data nasabah pasar modal lainnya (Data di C-BEST dan AKSes). Nasabah yang sama menggunakan SID yang sama di semua Agen Penjual. Penyimpanan data SID pada database Back Office Partisipan Kelengkapan data dan data terkait lainnya dapat ditemukan dalam lampiran yang disediakan dalam Flash Disk yang disediakan dalam sosialisasi ini.
14
Format SID Random Digit (6 digit) (Alphanumerik)
Status Investor : D : Domestic, F : Foreign.
1
2
3
4
5
6
7
Tipe Investor : Tgl. & Bln. : ID: Nasabah Perorangan, Tanggal dan Bulan lahir SC: Perusahaan Efek, Tanggal dan Bulan Pendirian MF: Mutual Fund, Format : DDMM PF: Pension Fund, CP: Corporate, IB: Institution Bank, IS: Insurance, FD: Foundation, OT: Others. (Mengikuti tipe investor yang diterapkan oleh BI). Ada di bagian depan kartu
8
9
Trading ID
10 11 12 13
14 15
Check Digit
Ada di bagian belakangkartu
15
Static Data : Rekening Investasi dan Kode Efek
Format Kode Account :
Kode Agen Penjual
SA001 ABC123 F01 XX
Internal Client Code (Alphanumeric)
Account Type
Check Digit
Account Type : F01 F02 F03 F04
Unit Position (owned by Investor) Cash Position (owned by CB under Fund Name) Total Unit (Nostro account owned by MF) Total Cash (Nostro account owned by KSEI)
Client Code bisa diisi/ditentukan oleh SA, atau dapat dikosongkan sehingga NFS yang akan men-generate secara otomatis. 16
Struktur Rekening
• • •
Investor memiliki SID Manajer investasi dan Bank Kustodian dapat memonitor kepemilikan investor atas Reksa Dana di bawah pengelolaan semua agen penjual. Agen Penjual hanya dapat melihat kepemilikan investor atas Reksa Dana di bawah pengelolaannya. 17
Modul dan Fungsi di NFS
Order Routing • Subscription • Redemption • Switching • Distributed Income • Fund Liquidation
Post Trade Processing • Trade Details • Trade Allocation • Trade Matching Process • Settlement Instruction • OTC instruction creation for settlement in C-BEST
Reporting • Delivery of reports to be sent to Regulator • Delivery of NAV Data and reporting to Media
18
Aplikasi NFS
19
Main Menu Unit Transactions
Functionality & Features
Asset Transactions
Selling Agent Reporting
Static Management
Business Support User Management
Statistics System Management NFS Browser
Function SUBS/REDM/SWTC Order Distributed Income Liquidation Subscription Money Transfer Unit Allocation Unit Balance NAV Cut-off Time Management Equity Fixed Income Time Deposit Late Settlement Instruction & Summary Daily Transaction ARIA report e-Monitoring report Fund Fact Sheet Report Media Report Participant Management Fund Data Management KYC Management Account Management Securities Data Management Mid-rate Management Pending Process Inquiry Group Management User Management OTP Management
Input (GUI) √ √ √ -
Upload √ √ -
Download √ √ √ √ √ √ √ √ -
√ √ √ √ -
√ √ √ -
√ √ -
-
√ √ √ √ √ √ √ √ √
Kemungkinan perlu dilakukan Pengembangan Back office bagi yang sudah melakukan secara Otomatis (upload/download)
20
Main Menu Unit Transactions
Functionality & Features
Investment Manager
Asset Transactions
Reporting
Static Management
Business Support User Management
Kemungkinan perlu dilakukan Pengembangan Back office bagi yang sudah melakukan secara Otomatis (upload/download)
Statistics System Management
Function SUBS/REDM/SWTC Order Distributed Income
Input (GUI) √ √
Upload √ √
Download √ √
Liquidation Subscription Money Transfer Unit Allocation Unit Balance NAV
√ -
√ -
√ √ √ √ √
Cut-off Time Management Equity Fixed Income Time Deposit
√ √ √
√ √ √
√ √ √ √
√ √ √ √ √ -
√ √ √ -
√ √ -
-
√ √ √ √ √ √ √ √ √ -
Late Settlement Instruction & Summary Daily Transaction ARIA report e-Monitoring report Fund Fact Sheet Report Media Report Participant Management Fund Data Management KYC Management Account Management Securities Data Management Mid-rate Management Pending Process Inquiry Group Management User Management OTP Management
21
Main Menu Unit Transactions
Functionality & Features
Custodian Bank
Asset Transactions
Reporting
Static Management
Business Support User Management
Kemungkinan perlu dilakukan Pengembangan Back office bagi yang sudah melakukan secara Otomatis (upload/download)
Statistics System Management NFS Browser
Function SUBS/REDM/SWTC Order Distributed Income
Input (GUI) √ √
Upload √
Download √ √
Liquidation Subscription Money Transfer Unit Allocation Unit Balance NAV
√ √ √ √ √
√ √ √
√ √ √ √ √
Cut-off Time Management Equity Fixed Income Time Deposit
√ √ √
√ √ -
√ √ √ √
√ √ √ √ √ √ √ -
√ √ √ √ -
√ √ √ √ √ √ √ √ √ √ √ √
Late Settlement Instruction & Summary Daily Transaction ARIA report e-Monitoring report Fund Fact Sheet Report Media Report Participant Management Fund Data Management KYC Management Account Management Securities Data Management Mid-rate Management Pending Process Inquiry Group Management User Management OTP Management
22
Main Menu Unit Transactions
Functionality & Features
Asset Transactions
Broker Reporting
Static Management
Business Support User Management
Kemungkinan perlu dilakukan Pengembangan Back office bagi yang sudah melakukan secara Otomatis (upload/download)
Statistics System Management NFS Browser
Function SUBS/REDM/SWTC Order Distributed Income
Input (GUI) -
Upload -
Download -
Liquidation Subscription Money Transfer Unit Allocation Unit Balance NAV
-
-
-
Cut-off Time Management Equity Fixed Income Time Deposit
√ √ -
√ √ -
√ √ -
√ √ √ -
-
√ √ √ √ √ √ √
Late Settlement Instruction & Summary Daily Transaction ARIA report e-Monitoring report Fund Fact Sheet Report Media Report Participant Management Fund Data Management KYC Management Account Management Securities Data Management Mid-rate Management Pending Process Inquiry Group Management User Management OTP Management
23
Standarisasi di NFS dan Kebutuhan Mapping di Back Office • Selain standarisasi format instruksi, file upload dan download, NFS juga akan menggunakan standar kode sbb : – – – –
Fund Code Fund Unit Account (Investor level) SID Data-data terkait KYC
• Partisipan lakukan mapping antara sistem internal back office dengan standar kode di NFS, sesuai kebutuhan masing-masing Partisipan.
24
Mekanisme Upload • NFS menyediakan fasilitas input by screen (GUI) dan beberapa function disediakan fasilitas upload • Format file data upload : csv (,) , txt (;) • Upload instruksi dilakukan melalui screen NFS. Tidak menggunakan aplikasi khusus lain. • NFS akan melakukan validasi data upload • Error message juga ditampilkan dalam screen NFS
• Detail Format data upload setiap jenis instruksi dan screen design disediakan dalam flashdisk. 25
Inquiry dan Report (Data Download) • NFS menyediakan layar inquiry untuk semua modul / function • Tampilan data inquiries dalam tabel yang dapat diubah urutannya dengan menggunakan header tabel. • Untuk setiap layar inquiries tsb, NFS menyediakan fasilitas download to file : – xls, dengan tampilan persis seperti yang ditampilkan di layar. – csv(,) atau txt(;) untuk dipakai dalam proses selanjutnya di back office.
• File download dari inquiries bisa digunakan untuk kebutuhan internal back office Partisipan
• Format File download disediakan dalam flash disk 26
Reporting ke OJK dan Media • NFS menyediakan fasilitas upload data laporan baik untuk OJK maupun kepada Media (NAV) • Pelaporan ke OJK meliputi : – Pelaporan e-Monitoring – Pelaporan ARIA (sebagai back up dari pelaporan langsung dari Partisipan ke ARIA). Kewajiban pelaporan ke ARIA diatur oleh OJK – Format pelaporan ke OJK tidak mengalami perubahan
• Laporan hasil upload juga ditampilkan di layar NFS • Format data upload laporan ke OJK maupun ke Media (NAV) disediakan dalam flash disk 27
Identifikasi Kebutuhan Pengembangan Back Office
28
Penyesuaian Database Back Office Penerapan Standarisasi • Fund Code • Fund Unit Account (Investor level) • SID • Data-data terkait KYC
29
Kebutuhan Pengembangan Interface NFS - Back Office CUSTODIAN BANKS
Custodian Banks Modul-modul penyampaian data/instruksi report dari CB ke NFS Unit Transactions (Order Routing Module) Unit Allocation Unit Balance NAV Subscription Money Transfer Asset Transactions OTC additional data for Equity Trx (PTP Module) OTC additional data for Fixed Inc Trx Reporting ARIA report e-Monitoring report Media report Modul-modul pemrosesan data/instruksi report dari NFS ke CB Unit Transactions KYC Management (Order Routing Module) Account Management
Kemungkinan perlu dilakukan Pengembangan Back office bagi yang sudah melakukan secara Otomatis (upload/download)
SUBS/REDM/SWTC Order in Detail from SA SUBS/REDM/SWTC Order in Bulk from IM Asset Transactions (PTP Module)
Equity Settlement Instruction Fixed Income Settlement Instruction Time Deposit Settlement Instruction
30
Investment Managers
Kebutuhan Pengembangan Interface NFS - Back Office INVESTMENT MANAGERS
Modul-modul penyampaian data/instruksi report dari IM ke NFS Unit Transactions (Order Routing Module)
SUBS/REDM/SWTC Order in Bulk to CB
Asset Transactions (PTP Module)
Equity Trx Settlement Instruction Fixed Income Trx Settlement Instruction
Time Deposit Settlement Instruction Modul-modul pemrosesan data/instruksi report dari NFS ke IM Kemungkinan perlu dilakukan Pengembangan Back office bagi yang sudah melakukan secara Otomatis (upload/download)
Unit Transactions (Order Routing Module)
SUBS/REDM/SWTC Order in Bulk from SA
Asset Transactions (PTP Module)
Equity Trx Confirmation Fixed Income Trx Confirmation
31
Kebutuhan Pengembangan Interface NFS - Back Office
Selling Agents Modul-modul penyampaian data/instruksi report dari SA ke NFS Unit Transactions (Order Routing Module)
SUBS/REDM/SWTC Order in Details to CB SUBS/REDM/SWTC Order in Bulk to IM Subscription Money Transfer
SELLING AGENTS
Reporting
ARIA report
Static Management
KYC Management Account Management
Kemungkinan perlu dilakukan Pengembangan Back office bagi yang sudah melakukan secara Otomatis (upload/download)
Modul-modul pemrosesan data/instruksi report dari NFS ke SA Unit Transactions (Order Routing Module)
Unit Allocation Unit Balance
32
Kebutuhan Pengembangan Interface NFS - Back Office
Brokers Modul-modul penyampaian data/instruksi report dari BR ke NFS Asset Transactions Trx Details for Equity Trx (PTP Module) Trx Confirmation for Equity Trx Trx Details for Fixed Income Trx
BROKERS
Kemungkinan perlu dilakukan Pengembangan Back office bagi yang sudah melakukan secara Otomatis (upload/download)
Trx Confirmation for Fixed Income Trx
Modul-modul pemrosesan data/instruksi report dari NFS ke BR Asset Transactions Trx Allocations for Equity Trx (PTP Module) Trx Allocations for Fixed Income Trx
33
Infrastruktur IT
34
Network Configuration
JTPM
VPN
Custodian Banks
Investment Managers
Custodian Banks who can act as SA
Selling Agents
Brokers Brokers who can act as SA
35
Spesifikasi Perangkat Jaringan • Komunikasi melalui JTPM – dual link Router Cisco seri minimum 2800 (Mandatory) Switch Cisco seri minimum 3750 (Optional) Fiber Driver Cisco 2 link (Optional) Firewall (optional)
• Komunikasi melalui VPN Menggunakan software VPN Client (Cisco) Firewall (optional) 36
PC Client Specifications OS
CPU Memory Storage .Net Framework
• Windows 7 32 bit/64 bit (English - North America) or latest Windows • minimum Dual-core 2.4 GHz • minimum 4 GB Min. • HDD minimum 2 GB Min. • USB port/CD-ROM enabled to transport installer. • Version 4.5 previously installed
User Privilege
• Windows Administrator for initial installation • Standard user or above after the installation
Screen Resolution
• 1024 x 768 Min. (1280 x 1024 recommended)
Security S/W
• No anti-malware S/W shall block the network traffic from NFS, nor filter the extensions of the files provided by NFS • No proxy
37
Konfigurasi Keamanan Sisi Client • Firewall allow access Port 80 (HTTP) and 443 (HTTPS)
• IPS/IDS allow access
/webservices/* (URL Pattern) *.jsp, *.gif, *.jpg, *.js, *.css, *.html (File Extention Standard web) *.exe, *.msi (File Extention Windows standard installation) *.deploy, *.dll.deploy, *.xml.deploy, *.manifest, *.application *.zip *.pdf, *.xls (NFS business requirements)
• Proxy Server Disable caching for NFS IP address, or deactivate proxy server Reason: NFS screen update will fail if NFS Client doesn’t detect new version of the screen 38
Login Flow End Users LOGIN FAILURE
LOGIN SUCCESS
Deployment Website
Suspended ID or wrong info. Qualified Setup Manager
Temporary PIN Splash New PIN Popup
Single Role
Multiple Roles Login + Notice
Role Selection
39
OTP Distribution Catatan:
① Visit KSEI to register and receive OTP tokens: Admin(1) + Initial Users(2-4)
KSEI
Admin (Participant)
Additional Users
※ Receive additional OTP tokens by courier or visiting KSEI Site, depending on KSEI’s policy
③ Admin manages and assigns OTP token for each user
• Token yang disediakan oleh KSEI sekitar 3-5 per partisipan
② Register User/Token Info.
NFS
OTP Server 40
Perkiraan Biaya Perangkat Perangkat Network
Keterangan
Perkiraan Biaya
Menggunakan JTPM Instalasi
USD 900 per-link
Perangkat JTPM
USD 3,000 (Router) Rp 15 juta (Switch) USD 3,500 (Fiber Driver 2 buah)
Biaya bandwidth 10MBps
Rp 10 juta/bulan (dual-link)
Menggunakan VPN Ditentukan sendiri oleh partisipan Koneksi internet minimal bandwidth 2mbps. Pilihan provider dan pengadaan perangkat dilakukan sendiri oleh partisipan
PC
Sesuai requirement PC client, jumlah PC sesuai kebutuhan partisipan
Ditentukan sendiri oleh partisipan
Token
Alokasi dari KSEI per Partisipan: 3-5 Token
Free
Perkiraan penambahan biaya per Token
USD 165 41
What’s Next
42
Task dan Timeline Persiapan Partisipan Aktifitas Identifikasi kebutuhan Budgeting • Distribusi Kuesioner • Pengembalian Kuesioner Set-up infrastruktur Koneksi ke KSEI (JTPM / VPN)
Waktu Nov 2015 1 Nov 2015 10 Nov 2015 Des 2015 – Mar 2016
Enhancement Back Office sesuai identifikasi kebutuhan tiap partisipan
Nov/Des 2015 – Mei 2016
Pengujian Aplikasi Internal
Feb – Mei 2016
Integration Test Bersama dengan KSEI dan Partisipan lain
Mar – Mei 2016
UAT dan Migrasi Data
Juni – Juli 2016
43
Task dan Timeline Persiapan Partisipan Go Live
Pengujian Internal
Identifikasi kebutuhan Budgeting
UAT & Migrasi Data
Set-up Infrastruktur Integration Test
Enhancement
Development Nov
Des
Jan
UAT & Migrasi Feb
Mar
Apr
Testing
Mei
Jun
Jul
AGS 2016 44
Current Stage of Project Completion of consultancy/analysis stage (2016. 5) & Now At the end of design phase 2015 DATE
TASK
Main Phase Business Application
Core Package
Data Conversion
TA Services (by KSD)
TA Services (by KSEI)
2016
6
7
8
9
10
11
12
1
2
3
4
5
6
7
8
9
10
M1
M2
M3
M4
M5
M6
M7
M8
M9
M10
M11
M12
M13
M14
M15
M16
M17
Design Study (5M)
Design Screen & Component
Development (4M)
Coding, Unit Test
Testing (3M)
Integration Test
Transition (2M)
Support (3M)
UAT
Support
UAT
Support
SRS Analysis, Design ▷ Screen design Guide
Core Package Customization
SyRS
Analysis, Design
▷ 1st Release
▷ 2nd Release
Development ▷ Develop data migration program
Set up KSD internal development environment
Architecture Design, System Verification
Construction Plan & Define
Requirement Define
Equipment Procurement, System Install & Verficaiton
▷ Release ▷ Test and support
Testing ▷ Validate migrated data
System Test Plan & Test & Tuning
▷ Migrate data
UAT
Main Center
DR Center Test
System Test & Tuning
UAT
Support
Maintenance
DR Center Test
45
Roadmap for Next Step Program development and test for the programs (including unit tests) for 9 months Test participation of participants from 3rd integrated test (2016. 4) 2015 DATE Player
2016
11
12
1
2
3
4
5
6
7
8
9
10
M6
M7
M8
M9
M10
M11
M12
M13
M14
M15
M16
M17
Main Phase
Development (4M) 1
Application Program Development & Unit Test
3
KSD
2
Support (3M)
Error Fix
Maintenance Support
Test Scenario Production
4 1st Integrated Test
KSEI
Transition (2M)
Testing (3M)
6
5 2nd Integrated Test
1st Data Migration
3rd Integrated Test (Scenario Test)
Sample Data Provision
Participants (Working Group)
2nd Data Migration
3rd Data Migration
UAT Support
7
System Stabilization Final Data Migration
System Operation
UAT (Test with actual transaction data)
Final Data Migration
Actual Use of NFS 8
Participants (Others)
Up/download & Screen Test Data Migration
Final Data Migration
46
Outline 1
2
• Impact analysis on the internal IT system for use of the NFS
• Participation for 3rd Integrated test, UAT
• Taking necessary actions (internal system change/ development) based on the NFS specification
• Registration of users and Ready for the test
• Actual transaction data for scenario test and UAT • Compliance with data format suitable for the NFS 3
• Basic data essential for unit tests
• Data provision in excel file with the layouts requested by KSD 4
47
End of Presentation Slides
48
Survey Submission Softcopy Email :
[email protected] Due : 10 Nov 2015 12.00PM Hardcopy PT KSEI Office Due : 10 Nov 2015
Survey Form is also available for downloads @KSEI Website (KSEI.CO.ID) Menu: Data & User Guide 49
Lampiran Contoh-contoh Layar NFS Instruksi dan Upload
50
Unit Transactions > SUBS/REDM/SWTC Order > SUBS/REDM/SWTC Order Input
Screen Name
IM Only
User
SA
CB
BR
KSEI
OJK
Admin
4-eyes Application
v
1. UI Layout
Data Layout
Create, Create-Direct Approve
v
- In case of subscription/redemption Selling Agent :
SUBS/REDM
SA001
BNI
Late Order
Transaction Date :
2015-05-28
* Investor Fund Unit Account
SA00100GIIIF0142
Grup Salim
IM002FISASHUSD02
Ashmore Dana USD Nusantara
SWTC
Subscription/Redemption Order * Transaction Type SID Investment Manager * Amount REDM Payment A/C Transfer Type
Subscription
Redemption
CPD200615344412 IM002
Custodian Bank
Ashmore
Nominal 01
* Fund
5,478.00
DB
Fee
CB006
N/A
HSBC 3.50
Nominal
Payment Date
AA1234-49
-
USD
-
SA Reference No.
Add
Clear No.
Transaction Date
Transaction Type
Investor Fund Unit A/C No.
1
2015-05-28
Subscription
SA001000001F0101
2
2015-05-28
Redemption
SA00100GIIIF0142
3
2015-05-28
Subscription
4
2015-05-28
Redemption
Investor Fund Unit A/C Name
SID
Fund Code
Chandra Guna
IDD311212345678
IM001MMCSCHMMF01
Grup Salim
CPD200615344412
SA001IUW014F0123
Military Fund
SA001012KYIF0177
ACE
Fund Name
IM Code
IM Name
CB Code
CB Name
Modify Fund CCY
Schroder MMF
IM001 Schroder
CB001 BCA
IDR
IM002FISASHUSD02
Ashmore Dana USD Nusantara
IM002 Ashmore
CB006 HSBC
USD
PFF040387123712
IM012EQCREKAAA01
Reksadana AAA Strategy Fund
IM012 AAA
CB011 SCB
USD
ISD021165432199
IM005MXSBNPMAX03
BNP Paribas Maxi Obligasi
IM005 BNP Paribas
CB008 DB
EUR
Amoun (Nomina
123,45
18,79
Delete Row
Save
Selling agents input subscription and redemption orders(standard/late) on the NFS.
Description NFS UI Layout
- 51 -
51
KSD
Unit Transactions > SUBS/REDM/SWTC Order > SUBS/REDM/SWTC Order Input
Screen Name
IM Only
User
SA
CB
BR
KSEI
OJK
Admin
4-eyes Application v
v
1. UI Layout
Data Layout Approve
- In case of subscription/redemption Selling Agent :
SA001
BNI
Input Date :
Investment Manager : Standard/Late :
SUBS/REDM
2015-05-28
Fund :
All
Transaction Type :
All
Subscription
Search
Redemption
SWTC
Subscription/Redemption Order No.
Transaction Date
Transaction Type
Reference No.
Investor Fund Unit A/C No.
1
2015-05-27
Subscription
13
SA001000001F0101
2
2015-05-27
Redemption
45
SA00100GIIIF0142
3
2015-05-28
Subscription
97
4
2015-05-28
Redemption
145
Investor Fund Unit A/C Name
SID
Fund Code
Chandra Guna
IDD311212345678
IM001MMCSCHMMF01
Grup Salim
CPD200615344412
SA001IUW014F0123
Military Fund
SA001012KYIF0177
ACE
NFS UI Layout
IM Code
IM Name
CB Code
CB Name
Fun CC
Schroder MMF
IM001 Schroder
CB001
BCA
ID
IM002FISASHUSD02
Ashmore Dana USD Nusantara
IM002 Ashmore
CB006
HSBC
US
PFF040387123712
IM012EQCREKAAA01
Reksadana AAA Strategy Fund
IM012 AAA
CB011
SCB
US
ISD021165432199
IM005MXSBNPMAX03
BNP Paribas Maxi Obligasi
IM005 BNP Paribas
CB008
DB
EU
Approve
Clear
Description
Fund Name
Reject
Selling agents(approver) approve/reject the subscription and redemption orders inputted by selling agents(creator). *Display rule: (1) Status: Inputted & (2) SA Status: Pending
- 52 -
52
KSD
Unit Transactions > SUBS/REDM/SWTC Order > SUBS/REDM/SWTC Order Upload
Screen Name
IM Only
User
SA
CB
BR
KSEI
OJK
Admin
Data Layout
4-eyes Application
v
1. UI Layout
- In case of subscription/redemption Selling Agent :
SUBS/REDM
SA001
BNI
SWTC
Subscription/Redemption Order No.
Error Reason
1
Transaction Date
Transaction Type
SA Code
Investor Fund Unit A/C No.
Fund Code
2015-05-28
Subscription
SA001
SA001000001F0101
IM001MMCSCHMMF01
Amount (Nominal)
Amount (Unit)
Amount (All Fee (Nominal) Units)
123,456.00
Transaction Date Error
2015-05-26
Redemption
SA001
SA00100GIIIF0142
IM002FISASHUSD02
5,478.35
3
Investor Fund Unit A/C No. Error
2015-05-27
Subscription
SA001
SA999IUW014F0123
IM012EQCREKAAA01
18,795.48
352.00
4
Fund Code Error; Fee Error
2015-05-27
Redemption
SA001
SA001012KYIF0170
IM005MXSB
546,554.00
87,652.00
5
Amount Error
2015-05-28
Subscription
SA001
SA001012KYIF0171
IM012EQCREKAAA02
2015-05-28
Redemption
SA001
SA001012KYIF0178
IM012EQCREKAAA04
2015-05-28
Subscription
SA001
SA001012KYIF0179
IM012EQCREKAAA05
2015-05-28
Redemption
SA001
SA001012KYIF0180
IM012EQCREKAAA06
7
Payment Date Error
8
Fee (
1,015.00
2
6
Fee (Unit)
3.5000
Y Y 1,234.00 9,876.0000
23.0000
Upload
Summary
Clear
Total
Valid
Invalid
8
3
5
Save
Selling agents upload subscription and redemption orders(standard/late) on the NFS.
Description NFS UI Layout
- 53 -
53
KSD
Unit Transactions > SUBS/REDM/SWTC Order > SUBS/REDM/SWTC Order Approval
Screen Name
IM Only
User
SA
CB
BR
KSEI
OJK
Admin
Data Layout
4-eyes Application
v
1. UI Layout
- In case of subscription/redemption Investment Manager :
IM001
Schroder
Input Date :
Selling Agent :
Fund :
IM Status :
All
Transaction Type :
All
SUBS/REDM
2015-05-28
Pending
Approved
Subscription
Standard/Late :
All
Search
Redemption
SWTC
Subscription/Redemption Order
v
No.
Transaction Date
Transaction Type
1
2015-05-27
Subscription
SA001 BNI
IM001MMCSCHMMF01
Schroder MMF
CB001 BCA
IDR
10,123.00
0.0000
0
111,11.00
3.3333
0.00
99
2
2015-05-28
Redemption
SA001 BNI
IM001MMCSCHMMF01
Schroder MMF
CB001 BCA
IDR
25,100.00
45.0000
10
0.00
4.4444
0.00
51
3
2015-05-28
Subscription
SA003 BII
IM001MMCSCHMMF01
Schroder MMF
CB001 BCA
IDR
15,000.00
0.0000
0
0.00
0.0000
1.00
4
No.
Reference No.
v
1
22
Pending
v
2
31
Pending
v
3
46
v
4
124
IM Status
SA Code
IM Fee Amendment Amended
SA Name
Fund Code
Fund Name
IM Payment Date Investor Fund Unit A/C Amendment No. SA003000001F0101
CB Code
CB Name
Investor Fund Unit A/C Name
Fund CCY
Amount (Nominal)
SID
Amount (Unit)
Amount (Nominal)
Amount (All Units)
Amount (Unit)
Fee (Nominal)
Amount (All Units)
Fee (Unit)
Fee (Nominal)
Fee (%)
Fee (Unit)
Total
Fee (%)
Chandra Guna
IDD311212345678
10,000.00
1.00
SA00300GWUUF0142
Grup Salim
CPD200615344412
3,000.00
1.00
Pending
SA003IUW014F0123
Military Fund
PFF040387123712
1,500.00
1.00
Pending
SA003012KYIF0177
ACE
ISD021165432199
500.00
1.00
Summary
NFS UI Layout
Total
Approved
Pending
Subscription
103
0
103
Redemption
51
0
51
Approve Cancel Approval
Clear
Description
Transaction Type
Reject
Investment managers approve(cancel approval)/reject the subscription and redemption orders inputted by selling agents. The orders that investment managers already approved are still displayed in this screen since investment managers can cancel approval for the orders. *Display rule: (1) Status: Inputted, Approved, Received, Completed & (2) SA Status: Approved / * Summary rule: Transaction date+Transaction type+Fund+SA+Fee(%) - 54 -
54
KSD
Ap
Unit Transactions > SUBS/REDM/SWTC Order> SUBS/REDM/SWTC Order Receipt
Screen Name
IM Only
User
SA
CB
BR
KSEI
OJK
Admin
Data Layout
4-eyes Application
v
1. UI Layout
- In case of subscription/redemption Custodian Bank :
CB001
HSBC
Input Date :
Selling Agent :
Fund :
CB Status :
All
Transaction Type :
All
SUBS/REDM
2015-05-28
Pending Subscription
Received
Standard/Late :
All
Search
Redemption
SWTC
Subscription/Redemption Order No.
Transaction Date
Transaction Type
Reference No.
1
2015-05-27
Subscription
13
Pending
2
2015-05-27
Redemption
45
3
2015-05-28
Subscription
4
2015-05-28
Redemption
CB Status
IM Fee Amendment
IM Payment Date Amendment
Amended
SA Code
SA Name
Investor Fund Unit A/C No.
Investor Fund Unit A/C Name
SID
Fund Code
Fund
SA001 BNI
SA001000001F0101
Chandra Guna
IDD311212345678
IM001MMCSCHMMF01
Pending
SA003 BII
SA00100GIIIF0142
Grup Salim
CPD200615344412
IM002FISASHUSD02
Ashmore Dana U
97
Pending
SA006 ANZ
SA001IUW014F0123
Military Fund
PFF040387123712
IM012EQCREKAAA01
Reksadana AAA
145
Pending
SA007 Mandiri
SA001012KYIF0177
ACE
ISD021165432199
IM005MXSBNPMAX03
BNP Paribas Ma
Amended
Schroder MMF
Summary
NFS UI Layout
Total
Received
Pending
Subscription
2
0
2
Redemption
2
0
2
Receive Cancel Receipt
Clear
Description
Transaction Type
Custodian banks receive(cancel receipt) the subscription and redemption orders inputted by selling agents. Custodian banks cannot receive the orders that investment managers have not approved. The orders that custodian banks already received are still displayed in this screen since custodian banks can cancel receipt for the orders. *Display rule: (1) Status: Approved, Received, Completed - 55 -
55
KSD
Unit Transactions > Subscription Money Transfer > Cash Forecast
Screen Name
IM Only
User
v
1. UI Layout
SA v
CB
BR
KSEI
OJK
Admin
Data Layout
4-eyes Application
v
v
- In case selection of summary criteria is ‘SA+Fund’, and subscription money transfer path is ‘Inside NFS’
Participant :
Value Date :
Fund :
Fund CCY :
Summary Criteria :
SA + Fund
Fund
IM
SA
CB
2015-06-15 IDR All
Transfer Path :
Inside NFS
Search
Outside NFS
Cash Forecast Details SA Name
Fund Cash A/C No.
Fund CCY
Transfer Path
Schroder1
SIMI1000000F0301
IDR
Inside
4,000.00
SIMI1EQCAGRESS02
Schroder2
SIMI1000000F0302
IDR
Inside
5,000.00
Schroder
SIMI1EQCAGRESS03
Schroder3
SIMI1000000F0303
IDR
Inside
6,000.00
IM001
Schroder
SIMI1EQCAGRESS01
Schroder1
SIMI1000000F0301
IDR
Inside
7,000.00
HSBC
IM001
Schroder
SIMI1EQCAGRESS02
Schroder2
SIMI1000000F0302
IDR
Inside
8,000.00
CB002
DB
IM001
Schroder
SIMI1EQCAGRESS04
Schroder4
SIMI1000000F0304
IDR
Inside
9,000.00
CB003
ABN
IM002
PT IM
PTIM1PFCAGRESS01
PTIM1
PTIM1000000F0301
IDR
Inside
100.00
No.
SA Code
CB Code
CB Name
IM Code
IM Name
Fund Code
1
SA001
PT BANK
CB001
HSBC
IM001
Schroder
SIMI1EQCAGRESS01
2
SA001
PT BANK
CB001
HSBC
IM001
Schroder
3
SA001
PT BANK
CB002
DB
IM001
4
SA002
PT CIMB
CB001
HSBC
5
SA002
PT CIMB
CB001
6
SA003
PT STAR
7
SA003
PT STAR
Fund Name
Subscription Amount
39,100.00
Download (Excel)
Total 7 Records
Clear
Description NFS UI Layout
Based on subscription orders from SAs and processed as ‘received’ & not ‘failed’ by CBs with value T+0 and also subscription money transfer path (i.e. Inside NFS Scheme) selected, IMs, SAs and CBs (including KSEI) can inquire their related subscription money to be paid on T+1. To easily summarize the data in the grid, users can utilize ‘Summary Criteria’. If ‘Fund’ is selected, the records are summarized for each investment fund, so that SA code and SA name are not displayed but subscription amount is summed up for each investment fund/fund CCY in the grid. Likewise, if IM is selected, SA code/name, CB code/name, fund code/name and fund cash A/C no. are not displayed but subscription amount is summed up for each IM/fund CCY in the grid. - 56 -
56
KSD
Unit Transactions > Subscription Money Transfer > Cash Incoming Message Inquiry
Screen Name
IM Only
User 1. UI Layout
SA v
CB
BR
KSEI
OJK
Admin
Data Layout
4-eyes Application
v
v
Participant :
Value Date :
2015-06-15
Search
Fund :
Print
Cash Incoming Messages No.
Message Type
BI Sending Member Code
Related TRN
SA Code
SA Name
CB Code
CB Name
IM Code
IM Name
Fund Code
Fund Name
Fund Cash A/C No.
Fund CCY
Transfer Path
CCY
Incoming Amount
1
Incoming
BNIAIDJA
0484774
SA002
PT CIMB
CB001
HSBC
IM001
Schroder
SIMI1EQCAGRESS01
Schroder1
SIMI1000000F0301
IDR
Inside
IDR
5,500.00
2
Incoming
BNIAIDJA
0484775
SA002
PT CIMB
CB001
HSBC
IM001
Schroder
SIMI1EQCAGRESS01
Schroder1
SIMI1000000F0301
IDR
Inside
IDR
1,500.00
7,000.00
Download (Excel)
Total 2 Records
Clear
Description NFS UI Layout
Major details of cash incoming to KSEI A/C on BI-RGTS are displayed according to each incoming message received from the STP-BI. CB code/name, IM code/name, fund code/name, fund CCY are displayed based on fund cash A/C no. indicated on the credit transfer by SA through BI-RTGS. SA code/name is displayed based on 1) SA’s NFS participant code indicated on the credit transfer, if any, or 2) SA’s NFS participant code for the BI sending member code managed in the NFS. If incoming amount is recorded in KSEI Fund Suspend A/C, SA/IM/CB/fund related code and name cannot be displayed, so KSEI can only see it. After clicking ‘Incoming’ in the message type column, a pop-up screen will be displayed to see each incoming message. - 57 -
57
KSD
Unit Transactions > Subscription Money Transfer > Cash Withdrawal/Reversal Request
Screen Name
IM Only
User
SA
CB
BR
OJK
Admin
Data Layout
4-eyes Application
v
v
1. UI Layout
KSEI
v
Create, Create-Direct Approve
2015-06-15
Custodian Bank :
Value Date :
Selling Agent :
Instruction Type :
All
Fund :
Status :
All
Search
Cash Withdrawal/Reversal Request BI Sending
V No. Member Code SA Code SA Name CB Code CB Name IM Code IM Name
Fund Code
Fund Name
Fund Cash A/C No.
Fund CCY
Transfer Path
CCY
Incoming Amount
Instruction Type
Target A/C No.
T
V
1
BNIAIDJA
SA002
PT CIMB
CB001
HSBC
IM001
Schroder
SIMI1EQCAGRESS01
Schroder1
SIMI1000000F0301
IDR
Inside
IDR
5,500.00 Withdrawal
HSBCSIMI01
S
V
2
BNIAIDJA
SA002
PT CIMB
CB001
HSBC
IM001
Schroder
SIMI1EQCAGRESS01
Schroder1
SIMI1000000F0301
IDR
Inside
IDR
1,500.00 Withdrawal
HSBCSIMI01
S
7,000.00
Download (Excel)
Clear
Description NFS UI Layout
Save Records for which cash incoming payment exists are displayed for a creator(CB or KSEI) to request cash withdrawal to CB’s A/C or reversal to SA’s A/C on BI-RTGS. After a user clicks a check box, ‘Withdrawal’ is set as default on instruction type column, and CB’s target subscription A/C no. and name stored in the NFS are automatically displayed if applicable. However, if a user changes the Instruction Type to ‘Reversal’, SA’s target subscription A/C no. and name stored in the NFS are automatically displayed if applicable. If there are more than one SA’s target subscription A/C. the user needs to select one of them. After Save button is pressed, related check boxes are blocked and cannot be modified to prevent request duplication, but it becomes unblocked if an approver rejects or the instruction is refused by BI-RTGS. - 58 -
58
KSD
Unit Transactions > SUBS/REDM/SWTC Order > SUBS/REDM/SWTC Order Inquiry
Screen Name
IM Only
User
SA v
v
1. UI Layout
CB
BR
v
KSEI v
OJK
Admin
Data Layout
4-eyes Application
v
- In case of switching-Order List, for SA&KSEI Input Date
Selling Agent :
Date :
Investment Manager :
Fund :
Custodian Bank :
Status :
All
Standard/Late :
All
Transaction Type :
Switching
Search Criteria :
Order List
SUBS/REDM
2015-05-28
~
2015-05-28
Search
Cancellation List
Print
SWTC
Switching Order No.
Transaction Date
Transaction Type
Reference No.
SwitchOut/In
1
2015-05-27
Switching
2
Out/In
Received
2
2015-05-27
Switching
5
Out/In
3
2015-05-28
Switching
21
4
2015-05-28
Switching
5
2015-05-27
6
2015-05-28
Status
IM Fee Amendment Amended
SA Code SA Name
Investor Fund Unit A/C No.
Investor Fund Unit A/C Name
SID
IM Code
IM Name
Switch-Out Fund Code
SA001
BNI
SA001000001F0101
Chandra Guna
IDD311212345678
IM001
Schroder
IM001MMCSCHMMF01
Rejected
SA002
BII
SA00100GIIIF0142
Grup Salim
CPD200615344412
IM002
Ashmore
IM002FISASHUSD02
Out/In
Approved
SA003
ANZ
SA001IUW014F0123
Military Fund
PFF040387123712
IM012
AAA
IM012EQCREKAAA01
25
Out/In
Approved
SA004
Mandiri
SA001012KYIF0177
ACE
ISD021165432199
IM005
BNP Paribas
IM005MXSBNPMAX03
Switching
77
Out/In
Received
Amended
SA001
BNI
SA001LYK932F0121
Khaerul Amrulloh
IDD061119843274
IM009
BBB
IM009MXLLLLLL01
Switching
89
Out/In
Inputted
Amended
SA004
Mandiri
SA001HOI683F0124
Julia Jeong
IDF110123456733
IM008
CCC
IM008MXLIUIUI02
Download (Excel) Summary Transaction Type
Total
Inputted
Approved
Rejected
Received
Completed
Switching
6
1
2
1
2
0
Clear
Selling agents, investment managers, custodian banks, KSEI, OJK inquire the order list of switching orders.
Description NFS UI Layout
- 59 -
59
KSD
Screen Name
Asset Transactions > Equity > Trade Detail(TD) Input
IM Only
User
SA
CB
KSEI
OJK
Admin
BR001
Data Layout
Create
4-eyes Application
v
1. UI Layout
Broker :
BR
v
Macquarie
Input Date :
2015-05-28
Investment Manager:
Trade Detail(TD) Details No.
Trade Date
Settlement Date
IM Code
IM Name
Security Code
Security Name
1
2015-05-28
2015-05-31
IM001
Schroder
BBCA
Bank Central Asia Ord Shs
2
2015-05-28
2015-05-27
IM001
Schroder
INDS
3
2015-05-28
2015-05-31
IM001
Schroder
MLPL
Buy/Sell
CCY
Price
Quantity
Buy
IDR
12,831.70
1,407,200
Indo spring Ord Shs
Sell
IDR
1,655.00
12,100
Multipolar Corp TBK
Sell
IDR
799.00
760,100
Reference No.
4
Add Row
Delete Row
Clear
Description NFS UI Layout
Save
BRs type in Trade Details in the format displayed on this screen. If a broker clicks the Add Row button, a new empty row will be added on the grid, allowing the user to input the trade details. IM names ,Security names and CCY will be retrieved by the system automatically after relevant IM codes and security codes are inputted respectively. BRs can type in Trade Details only on the trade date. However, it can be inputted until settlement date if the related SI is cancelled. Trade date ≤Input date ≤Settlement date - 60 -
60
KSD
Asset Transactions > Equity > Trade Allocation(TA) Input
Screen Name
IM Only
User
SA
CB
BR
KSEI
OJK
Admin
4-eyes Application
v
1. UI Layout
Investment Manager :
IM001
Broker :
BR001
Data Layout
Create
v
Schrod er Macquarie
Input Date :
2015-05-28
Trade Allocation(TA) Details No.
Trade ID
Trade Date
Settlement Date
BR Code
1
LCEQUI01
2015-05-28
2015-05-31
BR001
Macquarie
IM00101SSCHROD01
Schroder Fund No. 1
BBCA
2
LCEQUI02
2015-05-28
2015-05-31
BR001
Macquarie
IM00101SSCHROD02
Schroder Fund No. 2
3
LCEQUI03
2015-05-28
2015-05-31
BR001
Macquarie
IM00101SSCHROD03
4
LCEQUI04
2015-05-28
2015-05-31
BR001
Macquarie
IM00101SSCHROD0A
Add(pop-up)
BR Name
Fund Code
Fund Name
Buy/Sell
CCY
Bank Central Asia Ord Shs
Buy
IDR
12,831.70
1,400
BBCA
Bank Central Asia Ord Shs
Buy
IDR
12,831.70
7
Schroder Fund No. 3
BBCA
Bank Central Asia Ord Shs
Buy
IDR
12,831.70
Schroder Fund No. A
INDS
Indo spring Ord Shs
Sell
IDR
1,655.00
NFS UI Layout
Security Name
Price
Quanti
10
Delete Row
Clear
Description
Security Code
Save
IMs can type in the TA details to the NFS by filling in the system format. When the IM clicks ‘Add(pop-up)’ button, there will be a pop-up for input of TA details, and a newly inputted trade will be added on grid upon completion of filling the pop-up . TA input should be made on the trade date. However, it can be inputted until settlement date if the previous TA is cancelled due to the related SI cancellation. Trade date ≤Input date ≤Settlement date - 61 -
61
KSD
Asset Transactions > Equity > Settlement Instruction(SI) Inquiry
Screen Name
IM Only
User
SA
v
1. UI Layout
CB
BR
v
v
KSEI
OJK
Admin
Data Layout
4-eyes Application
v
v
- When the system user is Custodian Bank Custodian Bank :
CB001
Deutsche Bank
Date :
Investment Manager :
IM001
Schroder
Fund :
Broker :
Registration Type :
Security :
Status :
Search Criteria :
Cancellation List
SI List
Cut-off Status :
Trade Date
2015-03-12
-All -Registered -Offshore -Unregistered
All
All
Trade ID
Trade Date
Settlement Date
IM Code
IM Name
BR Code
BR Name
Counterparty Code
Search
-All -Before Cut-off -After Cut-off
Settlement Instruction(SI) Details No.
2015-03-12
~
Counterparty Name
Place of Settlement
Print
Fund Code
Fund Name
1
LCEQUI01
2015-05-28
2015-05-31
IM001
Schroder
BR001
Macquarie
BR001
Macquarie
KSEIIDJAXXX
IM00101SSCHROD01
Schroder Fund No. 1
2
LCEQUI02
2015-05-28
2015-05-31
IM001
Schroder
BR001
Macquarie
BR001
Macquarie
KSEIIDJAXXX
IM00101SSCHROD02
Schroder Fund No. 2
3
LCEQUI03
2015-05-28
2015-05-31
IM001
Schroder
BR001
Macquarie
BR001
Macquarie
KSEIIDJAXXX
IM00101SSCHROD03
Schroder Fund No. 3
4
LCEQUI04
2015-05-28
2015-05-31
IM001
Schroder
BR001
Macquarie
BR001
Macquarie
KSEIIDJAXXX
IM00101SSCHROD0A
Schroder Fund No. A
5
LCEQUI05
2015-05-28
2015-05-31
IM001
Schroder
BR001
Macquarie
BR001
Macquarie
KSEIIDJAXXX
IM00101SSCHROD0B
Schroder Fund No. B
6
OFFEQUI01
2015-05-28
2015-05-31
IM001
Schroder
CREDIT
Credit Suisse(US) Ltd
CREDIT
Credit Suisse(US) Ltd
DTCYUS33
IM00101SSCHROD01
Schroder Fund No. 1
7
UNRE01MF
2015-05-28
2015-05-31
IM001
Schroder
BR001
Macquarie
BR001
Macquarie
IM00101SSCHROD01
Schroder Fund No. 1
Download
Summary Number of SIs
Total Quantity
Buy
5
1,407,200
Sell
2
12,100
Clear
Description NFS UI Layout
BRs, CBs and KSEI can inquire the details of settlement instruction(SI). SI reference number will be generated automatically by NFS upon completion of matching process per each individual trade. The NFS provides the date and time of SI generation.
- 62 -
62
KSD
Screen Name
Asset Transactions > Equity > OTC Instruction Additional Data Input/Amendment
IM Only
User
SA
CB
BR
v
1. UI Layout
KSEI
OJK
Admin
Data Layout
4-eyes Application
v
- In case of DFOP instruction Participant :
CB001
Deutsche Bank
Settlement Date :
Counterpart : Search Criteria :
2015-05-31
Security :
OTC Creation
OTC Amendment
Instruction Type :
DVP/RVP
All
DFOP/RFOP
Search
Additional data input for OTC instruction No.
SI Reference
Instruction Type
Bulk Input
External Reference
Description
Purpose
Trading Reference
Settlement Reason
Participant Code
Participant Account
Counte
1
SI20150528LCEQ000001 RVP
000000
-
-
-
CB001
9X000000100161
B
2
SI20150528LCEQ000002 RVP
000000
-
-
-
CB001
9X000000100161
B
3
SI20150528LCEQ000003 RVP
000000
-
-
-
CB001
9X000000100161
B
4
SI20150528LCEQ000004 DFOP
EF123GH123
∆∆∆∆∆∆
EXCHG
EF123GH123
TRAD
CB001
9X000000100161
B
5
SI20150528LCEQ000005 DFOP
EF456GH456
∆∆∆∆∆∆
EXCHG
EF456GH456
TRAD
CB001
9X000000100161
B
Purpose
Description
Settlement Reason
Bulk Input
Save
Clear
NFS UI Layout
Participant Account Cash
CBs and BRs can type in the additional data on the NFS screen manually to generate OTC instructions to be used on C-Best. The column on grid will be rearranged depending on instruction type. For convenience, a pop-up for the detailed SI will be displayed by clicking the data on SI reference column. When the input is completed, OTC instruction will be generated in NFS and ready to be downloaded and/or sent to C-Best. - 63 -
63
KSD