Description |
Once the *Create New* is clicked and the user enters the future and basis prices for the new contract, the following should be done for the original contract:
# Original sequence is set to read-only.
# -Original contract is reversed from Risk Position-
## -No new code should be required for this. Just verification that it actually happens.-
# -Reverse Hedge with broker and in i21 for original if it exists-
## -Prateek needs to provide input on this.-
# -Close out any open samples for original-
# Close out any open Logistics on original
# Unallocate orignal contract
# Unassign any Prepayments that are against the line
# Properly adjust the Balance, Applied and Available on the original sequence
# Should not delete Pricing for a washedout screen.
|