Description |
- When selecting New transaction, the default transaction date (system date) does not come
- In the header, which is filled out in column order, only the appropriate choices should come after user enters broker & account number:
- all markets are coming even those not set up for the account
- all instruments are coming even those not set up for the account
- all commodities are coming even those not set up for the account
- all traders are coming even those not set up for the account
- Currency should be defaulting to the currency of the exchange
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