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Published byPatrick Newton Modified over 7 years ago
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ENHANCED SUPERVISION All active clients will be comming in the files with even if zero balance Inactive Clients having zero balance will be removed by system Client code same as branch code will not be considered by system (if Trades appear in that code only than it will be considered) Client code same as Remishere code will not be considered by system (if Trades appear in that code than it will be considered) NRI code if seperate eg I.e abc_b and abc_s will be merged and considered in single code abc NCDEX- multiple batches will be generated for ncdex monthly fund sec balance file if records more than 495 with assending batch nos (refer screen 38) In settings menu option of yes or no is given to Count Exposure Margin for Derivative Companies you can select yes if you want to consider by default it will be no
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Enhanced Supervision - After Processing generate GRP1 files through the above screen
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Enhanced Supervision - Save zip file on dash board
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Enhanced Supervision - extract the zip file in folder
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Enhanced Supervision - Select bse client asset file from the above folder as shown below
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Enhanced Supervision - Select bse client asset file from the above folder and zip the file as shown i.e create zip file of the same
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Enhanced Supervision - zip file as shown i
Enhanced Supervision - zip file as shown i.e create zip file of the same
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Enhanced Supervision - Date in zipfile should be changed to the date when you are uploading i.e if the generated file is uploaded on next day then the date of zip file should be changed accordingly otherwise it will give error on uploading
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Enhanced Supervision - Select CFS file from the above folder and zip the file as shown i.e create zip file of the same
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Enhanced Supervision - zip file as shown i
Enhanced Supervision - zip file as shown i.e create zip file of the same
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Enhanced Supervision - Date in zipfile should be changed to the date when you are uploading i.e if the generated file is uploaded on next day then the date of zip file should be changed accordingly otherwise it will give error on uploading
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Enhanced Supervision - Select Nse file as shown above open file and save the file in excel as shown below
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Enhanced Supervision - Select Nse file as shown above open file and save the file in excel as shown
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Enhanced Supervision - Select Nse file as shown above open file and save the file in excel as shown
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Enhanced Supervision - Select Nse file as shown above open file and save the file in excel as shown and upload the saved file i.e xls in exchange
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Enhanced Supervision - Select Nse enhanced supervision file as shown above open file and save the file in excel as shown below
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Enhanced Supervision - SelectNse enhanced supervision file as shown above open file and save the file in excel as shown and upload the saved file i.e xls in exchange
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Enhanced Supervision - After processing generate GRP2 files through the above screen
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Enhanced Supervision - Save zip file on dash board
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Enhanced Supervision - extract the zip file in folder
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Enhanced Supervision - Select MCX csv file as shown above from the folder open it in excel as shown below
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Enhanced Supervision - Save MCX csv file as shown below in excel
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Enhanced Supervision - mcx csv file save as excel file
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Enhanced Supervision - mcx csv file save as excel file
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Enhanced Supervision - mcx csv file save as excel file
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Enhanced Supervision - copy all data excluding header from the file as shown in the above screem
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Enhanced Supervision - Download the above excel file from client funds securities anc commodities balances option, open the file delete the sample data from the file as shown in the above screen
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Enhanced Supervision - Paste the selected data from the file (shown in screen 19) in this file
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Enhanced Supervision - Paste the selected data copied from the file (shown in screen 19) here and rename the file with membercode_mcx_ddmmyyyy
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Enhanced Supervision - Rename the sheet name as upload as shown in the above screen , and rename the file name with your clgmemcode_mcx_ddmmyyyy save and upload it in exchange
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Enhanced Supervision - Upload the above saved file as shown in the above screen , in exchange
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Enhanced Supervision - Select MCX client asset csv file from the stored folder and open in excel as shown below
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Enhanced Supervision - Rename the sheet name as upload as shown in the above screen , save the same and ipload in exchange
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Enhanced Supervision - Rename the sheet name as upload as shown in the above screen , save the same and upload in exchange
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Enhanced Supervision - mcx client asset csv file save as excel file
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Enhanced Supervision - mcx client asset csv file save as excel file
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Enhanced Supervision - Upload the saved file in exchange
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Enhanced Supervision - you have to uploaded one by one file after renaming the batch file as per original file name i.e without batch number eg. file ncdex_ monthly fund sec bal_ _1.csv has to be renamed as ncdex_ monthly fund sec bal_ csv only then you will be able to uploaded , so you have to upload the files in one by one sequence
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