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The accounting transaction explains the trigger for which reason a set of entries shall be generated. The accounting transaction is specific for a combination of product and accounting event type (e.g. contractual maturity, payment, accrual, amortisation). For each accounting transaction a set of entries should be generated.

For an individual accounting transaction it might be necessary to consider several measures or ratios in the corresponding set of entries. In case an accounting transaction is linked to more than one measure or ratio, for each combination of accounting transaction and measure/ratio a separate record is provided.

Data Field

DESCRIPTION

currentAccountId

Reference to the underlying deal

postingDate

Posting Date

companyId

Tenant

gaap

GAAP

accountingTransaction

The accounting transaction explains the trigger for which reason a set of entries shall be generated. The accounting transaction is specific for a combination of product and accounting event type (e.g. contractual maturity, payment, accrual, amortisation) and provides key information for linking a set of entries. 

currencyTransaction

Currency of accounting transaction
bookingCodeShortNameBooking code/transaction code which is individual for each single entry, short name
bookingCodeDescriptionBooking code/transaction code which is individual for each single entry, description
measureOrRatioDescription

Name of measure/ratio to be booked

signOfAmountAccountingRatioSign which indicates if the amount of the measure/ratio to be booked is + or  -
amountAccountingRatioAmount of accounting ratio in accounting transaction currency
amountAccountingRatioBalAmount of accounting ratio in functional currency/balance sheet currency
bankClientSign which informs if the customer is a bank or client (1 = bank; 0 = client)
customerTypeAdditional customer information. Possible attributes are corporate, employer, private household etc.
productName of product
accountingCategoryName of accounting category
impairmentStageName of impairment stage, e.g. stage 1, stage 2, stage 3
impairmentTypeImpairment Type differentiates between general provision for stage 1 and stage 2 impaired deals as wells as lump sum specific provision and specific provision for stage 3 impaired deals
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