Description |
*Steps to replicate:*
# Go to Risk Management \| Derivative Entry
# Filter the following test data
# Click Show Totals = Checked
{color:#a9a9a9}TEST DATA{color}* Commodity : Soybean
* Crush : Yes
_Take note the *Total* *Hedge Qty* _
4. Go to Risk Management \| Daily Position Report.
5. Filter the following test data
6. Select Commodity from Commodity grid
7. Click On Position Detail
8.Close Position Detail
{color:#a9a9a9}TEST DATA{color}* Position Includes: All Storage
* To Date : System Date
* Position By: Delivery Month
* Commodity: Soybeans
*Issue:*
*Crush* in the Contracts by Month is not matching the *Total Hedge Qty of Soybeans* *on the derivative entries screen*
!pastedImage_d189502_0.jpg!
*Acceptance:*
*Crush* in the Contracts by Month should match the *Total Hedge Qty of Soybeans on the derivative entries screen*
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