The
...
Each individual deal can be treated for a selection of posting dates.
The following sections describe the output generated on an individual deal/account level by those Output Interfaces RESTFul-API which are , related to financial accounting requirements.Results rleated to
For this purpose the output is presented in the following layouts:
- Debit/Credit entries as presented in the Accounting Explorer
- Valuation results as presented in the Calculation Analyser
- Debit/Credit entries and valuation results as presented in the GET RESTful API Interfaces
All results presented for financial accounting have been documented for the accounting purpose IFRS“IFRS”.
Hence, the offered service supports various GAAPs and is not limited to IFRS.
Expand | ||
---|---|---|
| ||
The sample portfolio is linked to the Model Bank Sample Portfolio. It covers the following deal types:
For details about the contractual deal data, please refer to the description of the individual sample deals in the Model Bank Sample Portfolio. Each individual deal is treated for a selection of posting dates. |
Expand | ||
---|---|---|
| ||
Sample deals are treated with the Standard process chain for initial and subsequent measurement in all GAAPs. |
Expand | ||
---|---|---|
| ||
Sample deals are treated with the Standard Accounting Logic. |