FpML Issues Tracker
closed
Major
Always
Schema
Admin
mgratacos
Summary
All the message types should be in pre-trade, trade-exec, or post-trade. Recent changes have broken this. Messages have been added in the wrong location:
* CancelTradeCashFlows should be in post-trade * TraceCashflowsAsserted should be in post-trade * TradeCashflowsMatchResult should be in post-trade * PositionReport should be in post-trade * RequestValuationReport should be in post-trade * ValuationReport should be in post-trade
Notes:
mgratacos
10/26/06 4:01 am
Majority of members of the Business Process Working Group disagree with this issue (2006-10-25 meeting). Having a separate files makes it easier to find messages and components specific to cash flow matching or valuation reporting.
matthew
10/26/06 8:39 am
This contradicts the package structure in the architecture.
The BPWG should either change the architecture or comply with it. It isn’t an option to go off at a tangent.
This issue should be referred to the AWG as it is an architecture issue created by the BPWG.
mgratacos
01/31/07 8:01 am