Description |
Steps:
# Risk Management > Derivatives > Settlement Prices
# Click Import
# Click Browse button, select the Import Settlement Prices.csv file and click Open
# Click Import
Expected:
* Should show this screen. Values should show as follows.
Check every data for each row. Month will show as follows:
* First Futures Month
* Second Futures Month
* Third Futures Month
* Fourth Futures Month
* Fifth Futures Month
*
Issue:
!pastedImage_d118990_0.png|height=75,width=639!
Script:
!pastedImage_d118990_1.png|height=65,width=693!
Screen:
!pastedImage_d118990_2.png|height=408,width=691!
Affected Operations: Select Grid, Set Grid, Verify Grid, Grid Count, Click button (in Grid)
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