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Back Office
User Guide
      29 Jan
Overview Back Office
Logging BOM
The member organizations BOM user set up by exchange so that user can only administer
within their organization.
User can connect to the back office at the following URL :
http://202.53.229.39/BOS/home/homeEXC.jsp

Main Menu BOS




Today’s Market
From menu click Today’s Market then click market data.




 Menu               Description
 Market Data        Current market prices in real time
Clearing Reports
When login as BOM the clearing reports menu provides access trading information and
detail. All reports can be downloaded into an Excel spreadsheet or PDF document.




Menu                     Description
Open future positions    Real time report showing each position detailed & unrealized
                         P&L from opening price, maintenance margin requirement
Trading summary          Real time report showing the total trades cleared a member
                         account, together with the execution fees applied
Trading detail           Real time report showing each trade cleared a members
                         account, together with execution fees
Fee analyis              Real time report showing the total trades cleared
Daily ledger             End of day report showing the daily statement for each
                         account
Daily statement          End of day report showing the daily statement for each
                         account together with trades & ledger
Cash transfer today      Report listing the cash transactions that have happened today
Offset profit & loss     Real time report showing all together with P&L today, P&L
                         since opened
Accounting cash flows    Real time report showing account cash balance
Trader’s margin call     Report showing the margin calls issued at the client level prior
                         to todays trading date
Margin call              Report showing the margin calls overall margin calls
Clearing limit summary   Clearing limits summary
Clearing limit detail    Clearing limits details
Recap customer           report showing recap customer account cash balance
Clearing statement       report showing clearing statement account cash balance
Master Management
The Master Management menu is used by member to administer and manage the back
office system.




Menu                      Description
Rating classes            Input screen for creating and configuring rating classes
                          which define how particular trade accounts
Ratings                   Input screen for creating and configuring specific rating
                          settings for each rating class
My bank Accounts (FOC)    Input screen for creating and configuring Bank account for
                          dealing with costumers (FOC accounts)
Trade Accounts            Input screen for creating and configuring trade accounts,
                          organizations (companies) and users
Users                     Input screen for creating and configuring users (can be
                          bypassed with trade account screen)
User Account              Input screen for managing the accounts which users are
                          subscribed to and are able to see
Organizations             Input screen for creating and configuring organizations
Client Bank Accounts      Input screen for refining the bank account of each customer
                          (BOC)

Daily Operations
The Daily Operations menu provides access to information that enables the member to
administer the daily business operations. All reports can be downloaded into Excel
spreadsheet or PDF document.
Menu                   Description
Delivery commitments   Report showing the members outstanding commitments to
                       deliver physical goods
Cash transfer          Input screen for listing the cash transactions that have happened
                       today


Maintenance
Use The Maintenance menu to work with the account structures and downloads screens.
The account structure screen displays details on current organizations users, trade
accounts, financial accounts and bank accounts.




Menu                description
Account structure   Tool for viewing screen for checking the account structure of
                    accounts and companies on the system
Downloads           Download function to allow users to download a variety of data,
                    such ad the summary XML data or the bank files
Logging FOM
The front Office Manager user enables the member to manage individual groups of client
traders within their organization using the FOM role.
The member organizations FOM users will be set up by the users BOM. The BOM will
then distribute the valid username and password to he FOM user enabling the user to log
on.

Main Menu FOM




The Accounting User ACT
Back office system enables the member to set up and maintean the organizations trading
and risk environment using the accounting user.
Main menu ACT displayed




Configuring Ratings
The rating classes are used when setting the rate at which each trade account will be
charged initial and maintenance margins, plus commissions and fees. The rating classes
must be set up before any clients can be addes. To set up a new rating class from BOS
main menu bar:
   1. select menu
   2. select master management
   3. click to selectrating class.
   4. to add new rating class enter the values in the fields as describe in the tables
   5. once you have entered all the value click the add button
Field                  Explanation
Sort seq               This setting indicates the order this rating is displayed in the list
Rating class code      This field defines the rating class code on the system user defines
                       ratings class for brokers and BOM defines rating class for traders
Rating class name      This is description of the rating, type profile class
Parent trade account   Choose the parent trade account from the list which defines that
                       any trade account which is child of this parent account will use
                       the rating

Configuring Ratings for a Rating class
To create a new rating from the back office system main menu bar :
   1. select menu
   2. select master management
   3. click to select ratings.




   1. To add new rating click on the add button
   2. you can cancel, edit and delete a rating click on the button.
Add new rating displayed




Field                        Explanation
Financial transaction type   This field defines the transaction type the rate applies. There
                             are standard ratings already in the list
Raings class                 This field defines the rating class the rating and transaction
                             types apply to
Exchange                     The exchange where the commodities/instrument are being
                             traded
Contract class               Describes the class off contract being traded
Commodity
Delivery number              The delivery number for the transaction
Currency                     Describes the system currency
Rate                         The rate applies to the selected transaction type/rating class


Configuring Bank Accounts
The system enables you to configure the bank account for both the clients and members.
To create a new client Bank Account (BOC) from the back office system main menu bar :
   1. select menu
   2. select master management
   3. click to select client bank accounts (BOC)
1. To add new click add button
   2. you can cancel changes, edit by the clicking the button.

Field                                        Explanation
Sort seq                                     To setting indicates the order this bank
                                             account displayed in the list
Bank name                                    Defines the name of bank
Bank account number                          Defines the name of bank account
Bank account name                            Defines the name of bank account holder
Description                                  Provides a description of the the client
                                             bank account
Organization                                 Describes the organization the bank
                                             account belong to




Configuring Trade Accounts
To create a new trade account from the back office system main menu bar:
   1. select menu
   2. select master management
   3. click to select trader accounts.
To add new trade account click on the add button, when adding a trade account you will
need to enter minimum values listed in the table, to edit an existing trade account click on
the edit button of the account you wih to change, you can cancel your changes by
clicking on the trade account list. When you have completed adding or editing the details
click on the update button to save your changes. To delete account click on delete button.




Field                        Explanation
Sort seq                     To setting indicates the order this trade account is displayed
                             in the list
Trade account code           This field determines the name of the trader account on the
                             trading system
Trade account name           This is the name of the trade account which appears in all
reports
Rating class                This field determines the name of the rating class that
                            assigned to the trade account
Account group               This field determines the account segregation or parent
                            account and is defined by the exchange
Trade account type          This field defines the description of the account type
Routing ID
CDC account                 This field is used for securities (non-cash) transfer to the
                            BOS from an external system
Organisation name           This field defines the organization to which the trade
                            account relates
NCEL Bank Account           This field determines the name of the exchange bank
                            account associated with the client for funds transfers
Customer Bank Account       This field determines the name of the trader’s bank account
                            For funds transfers.


Configuring users

To add a new user to the back office system from the back office system main meny bar:
   1. select menu
   2. select master management
   3. click on users screen to select the fuction




Field                   Explanation
Sort seq                This setting indicates the order this user is displayed in the list
User name               This setting defined the user name
Password                This is where the member enters the user password
Organization            The member must enter the users organization name in this field
User role menu group    This setting defines the user role that will assigned to the user
                        FOM = Front Office Manager
                        ACT = Accounting
                        Trader
Configuring User Account Subscriptions
The user account subscriptions screen is used to link users to trader accounts for the
purpose of viewing and trading in those accounts.Typically this process is done by the
members BOM user for their trading clients.
To create a new user account subscription from the BOS main menu bar:
   1. select menu
   2. select master management
   3. click to select user subscription




To add a trade account subscription for the user, select the desired account from the other
trader accounts box. Click the add button to add the trade account subscription for the
user. To delete a user subscription click on the desred account in the subscribed trade
accounts box and click delete. To save the changes made by either adding or deleting a
user subscription click on the update button.
Bo Sguide

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Bo Sguide

  • 2. Overview Back Office Logging BOM The member organizations BOM user set up by exchange so that user can only administer within their organization. User can connect to the back office at the following URL : http://202.53.229.39/BOS/home/homeEXC.jsp Main Menu BOS Today’s Market From menu click Today’s Market then click market data. Menu Description Market Data Current market prices in real time
  • 3. Clearing Reports When login as BOM the clearing reports menu provides access trading information and detail. All reports can be downloaded into an Excel spreadsheet or PDF document. Menu Description Open future positions Real time report showing each position detailed & unrealized P&L from opening price, maintenance margin requirement Trading summary Real time report showing the total trades cleared a member account, together with the execution fees applied Trading detail Real time report showing each trade cleared a members account, together with execution fees Fee analyis Real time report showing the total trades cleared Daily ledger End of day report showing the daily statement for each account Daily statement End of day report showing the daily statement for each account together with trades & ledger Cash transfer today Report listing the cash transactions that have happened today Offset profit & loss Real time report showing all together with P&L today, P&L since opened Accounting cash flows Real time report showing account cash balance Trader’s margin call Report showing the margin calls issued at the client level prior to todays trading date Margin call Report showing the margin calls overall margin calls Clearing limit summary Clearing limits summary Clearing limit detail Clearing limits details Recap customer report showing recap customer account cash balance Clearing statement report showing clearing statement account cash balance
  • 4. Master Management The Master Management menu is used by member to administer and manage the back office system. Menu Description Rating classes Input screen for creating and configuring rating classes which define how particular trade accounts Ratings Input screen for creating and configuring specific rating settings for each rating class My bank Accounts (FOC) Input screen for creating and configuring Bank account for dealing with costumers (FOC accounts) Trade Accounts Input screen for creating and configuring trade accounts, organizations (companies) and users Users Input screen for creating and configuring users (can be bypassed with trade account screen) User Account Input screen for managing the accounts which users are subscribed to and are able to see Organizations Input screen for creating and configuring organizations Client Bank Accounts Input screen for refining the bank account of each customer (BOC) Daily Operations The Daily Operations menu provides access to information that enables the member to administer the daily business operations. All reports can be downloaded into Excel spreadsheet or PDF document.
  • 5. Menu Description Delivery commitments Report showing the members outstanding commitments to deliver physical goods Cash transfer Input screen for listing the cash transactions that have happened today Maintenance Use The Maintenance menu to work with the account structures and downloads screens. The account structure screen displays details on current organizations users, trade accounts, financial accounts and bank accounts. Menu description Account structure Tool for viewing screen for checking the account structure of accounts and companies on the system Downloads Download function to allow users to download a variety of data, such ad the summary XML data or the bank files
  • 6. Logging FOM The front Office Manager user enables the member to manage individual groups of client traders within their organization using the FOM role. The member organizations FOM users will be set up by the users BOM. The BOM will then distribute the valid username and password to he FOM user enabling the user to log on. Main Menu FOM The Accounting User ACT Back office system enables the member to set up and maintean the organizations trading and risk environment using the accounting user. Main menu ACT displayed Configuring Ratings The rating classes are used when setting the rate at which each trade account will be charged initial and maintenance margins, plus commissions and fees. The rating classes must be set up before any clients can be addes. To set up a new rating class from BOS main menu bar: 1. select menu 2. select master management 3. click to selectrating class. 4. to add new rating class enter the values in the fields as describe in the tables 5. once you have entered all the value click the add button
  • 7. Field Explanation Sort seq This setting indicates the order this rating is displayed in the list Rating class code This field defines the rating class code on the system user defines ratings class for brokers and BOM defines rating class for traders Rating class name This is description of the rating, type profile class Parent trade account Choose the parent trade account from the list which defines that any trade account which is child of this parent account will use the rating Configuring Ratings for a Rating class To create a new rating from the back office system main menu bar : 1. select menu 2. select master management 3. click to select ratings. 1. To add new rating click on the add button 2. you can cancel, edit and delete a rating click on the button.
  • 8. Add new rating displayed Field Explanation Financial transaction type This field defines the transaction type the rate applies. There are standard ratings already in the list Raings class This field defines the rating class the rating and transaction types apply to Exchange The exchange where the commodities/instrument are being traded Contract class Describes the class off contract being traded Commodity Delivery number The delivery number for the transaction Currency Describes the system currency Rate The rate applies to the selected transaction type/rating class Configuring Bank Accounts The system enables you to configure the bank account for both the clients and members. To create a new client Bank Account (BOC) from the back office system main menu bar : 1. select menu 2. select master management 3. click to select client bank accounts (BOC)
  • 9. 1. To add new click add button 2. you can cancel changes, edit by the clicking the button. Field Explanation Sort seq To setting indicates the order this bank account displayed in the list Bank name Defines the name of bank Bank account number Defines the name of bank account Bank account name Defines the name of bank account holder Description Provides a description of the the client bank account Organization Describes the organization the bank account belong to Configuring Trade Accounts To create a new trade account from the back office system main menu bar: 1. select menu 2. select master management 3. click to select trader accounts.
  • 10. To add new trade account click on the add button, when adding a trade account you will need to enter minimum values listed in the table, to edit an existing trade account click on the edit button of the account you wih to change, you can cancel your changes by clicking on the trade account list. When you have completed adding or editing the details click on the update button to save your changes. To delete account click on delete button. Field Explanation Sort seq To setting indicates the order this trade account is displayed in the list Trade account code This field determines the name of the trader account on the trading system Trade account name This is the name of the trade account which appears in all
  • 11. reports Rating class This field determines the name of the rating class that assigned to the trade account Account group This field determines the account segregation or parent account and is defined by the exchange Trade account type This field defines the description of the account type Routing ID CDC account This field is used for securities (non-cash) transfer to the BOS from an external system Organisation name This field defines the organization to which the trade account relates NCEL Bank Account This field determines the name of the exchange bank account associated with the client for funds transfers Customer Bank Account This field determines the name of the trader’s bank account For funds transfers. Configuring users To add a new user to the back office system from the back office system main meny bar: 1. select menu 2. select master management 3. click on users screen to select the fuction Field Explanation Sort seq This setting indicates the order this user is displayed in the list User name This setting defined the user name Password This is where the member enters the user password Organization The member must enter the users organization name in this field User role menu group This setting defines the user role that will assigned to the user FOM = Front Office Manager ACT = Accounting Trader
  • 12. Configuring User Account Subscriptions The user account subscriptions screen is used to link users to trader accounts for the purpose of viewing and trading in those accounts.Typically this process is done by the members BOM user for their trading clients. To create a new user account subscription from the BOS main menu bar: 1. select menu 2. select master management 3. click to select user subscription To add a trade account subscription for the user, select the desired account from the other trader accounts box. Click the add button to add the trade account subscription for the user. To delete a user subscription click on the desred account in the subscribed trade accounts box and click delete. To save the changes made by either adding or deleting a user subscription click on the update button.