Portfolio Type
Table of Contents
Description
Financial meaning
Portfolio Type has no specific financial meaning, it's a logical configure-defined classification of the portfolios, help to differentiate manual portfolios from transaction and position based portfolios.
Platform abstraction
Portfolio Type is an entity designed as a criterion for comparing portfolios against each other, defining configured-defined groups with the Portfolio Classes. Portfolio Classes represents the primary attribute, with pre-defined classes for reconciliation calculation and filtering purposes in the reports, entity viewers:
General Portfolio
: Consists of banking transactions and/or a combination of initial positions and banking transactions.Manual Managed Portfolio
: Managed through manual transaction booking within the system or imported from the client's internal manual tracking systems for bank verification purposes.Position Only Portfolio
: Focuses on importing balance states for a specific day using Daily Positions/Cash transaction types.
It's used in:
- reconciliation using portfolio and portfolio reconcile group.
Examples
- to do
Cookbook
CRUD
Operations within platform.
Use Cases
What for it's used.
F.A.Q.
Frequently asked questions.
API documentation
Link to API documentation.