This section contains the principle trade entry and reporting procedures used to fulfill most back-office operations for a typical terminal trading operation.
This section contains the procedures used to manage price feeds and maintenance/enquiries.
The Settlement procedures are many and varied for the different market conditions and for post-settlement adjustment.
These processes include generic and bespoke import/export procedures. See also Integration topic.
This section contains applications used to maintain Support Codes (reference data) for the Futures, Options and CFDs Module.