Title: Workshop on Trade Notification Workflow
1Workshop on Trade Notification Workflow
ISDA Offices, New York, 8 September 2006
2Scope and quick review (1/2)
- FpML Closed User Group being finalized
- First pilots identified
- Formal commitments pending
- Asset classes to include IRS and CDS
- Two workflows identified for pilot
- Trade notification
- Portfolio reconciliation
3Scope and quick review (2/2)
- Profile assessments sent out to 10 pilot
institutions - London meeting planned for 20 September
- Pilot agreements to be sent out mid-October
- Service description being prepared (end October)
- Target for pilot start -- end of 2006
4Asset class details
- Credit default swaps
- Single names
- Index CDS
- Index tranches
- Baskets
- Basket tranches
- Interest rate swaps
- Single currency (vanilla, OIS)
- Cross currency (vanilla, OIS)
- Caps
- Floors
- Collars
5IRS and CDS post-trade flows
1
Trade confirmation
2
Pre-confirm up-front payments
Dealer
Dealer
3
Rate reset (IRS only) and/or payment advice
4
Amendments
5
Assignments
6
Terminations
7
Cashflow reconciliation
8
Portfolio reconciliation/valuation
9
Collateral management
10
Clearing and settlement
6IRS and CDS post-trade flows
Execution notice Pre-confirmation
1
2
Allocation instruction
Investment manager/ Hedge fund
Dealer
4
Pre-confirmation of near-date cash payments
5
Trade confirmation (individual accounts)
3
9
6
Amendment
7
Pay/receive instruction
Re-allocation
Trade notification
8
Rate reset (for IRS only) and/or payment advice
10
Assignment
11
Early termination (partial and full)
Custodian or Accounting Agent or Prime Broker
(3rd pty)
7IRS and CDS post-trade flowsCashflow and
portfolio reconciliation
1
Cashflow reconciliation
2
Portfolio reconciliation/MTM valuation (daily)
Investment manager/ Hedge fund
Dealer
3
Portfolio reconciliation/MTM valuation (monthly)
6
4
5
Portfolio reconciliation/ MTM monthly
Portfolio reconciliation/ MTM monthly
Portfolio reconciliation/ MTM daily
Accounting agent
Custodian or Prime Broker (3rd pty)
8Scenarios
- New
- Amend
- Increase
- Novate
- Terminate
- Full termination
- Partial termination
9Scenario combination examples
- New
- New / Amend
- New / Amend / Terminate (Full)
- New / Increase
- New / Novate
- New / Terminate (Partial)
- New / Increase / Terminate (Full)
- New / Increase / Novate
10New (Trade Notification) (1)
New
Investment manager
Custodian
- Custodian receives trade notification for a new
swap from IM - Does the custodian have to send an
acknowledgment?
11New / Amend (2)
New
Investment manager
Custodian
Amend
12New / Amend / Terminate (Full) (3)
New
Investment manager
Custodian
Amend
Terminate
13New / Increase (4)
New
Investment manager
Custodian
Increase
14New / Novate (5)
New
Investment manager
Custodian
Novate
15New / Terminate (Partial) (6)
New
Investment manager
Custodian
Terminate
16New / Increase / Terminate (Full) (7)
New
Investment manager
Custodian
Increase
Terminate
17New / Increase / Novate (8)
New
Investment manager
Custodian
Increase
Novate
18Exceptions and corrections
- What if you sent a message in error?
- Manual processing?
- Exception handling?
- Correction message?
- How much detail in correction message? Just
trade id or more?
19Service description
- Eligibility and participant information
- Service components
- Messaging details
- Standards details
- Interface details
- Features and functions
- Roles and responsibilities (SWIFT and
participants) - Rulebook
- Instrument and workflow restrictions
- Market practices
- Usage rules
20Some other questions/issues
- Validation rules (phase 2) how strict
- Reject all FpML business rule violations (plus
more)? - Pick and choose rules by product?
- Dont reject --- but indicate it failed
validation?
21Pilot readiness discussion
- Who
- What
- When
- With whom?
- Meetings ongoing for technical review and
readiness details with all pilots