TA REPORTS
TA SYSTEMS
MONEY MOVEMENT
FUND TRANSFER REPORT
KNOW YOUR PEERS
100

A summary of daily money movement between the custody account and trust account

Fund Transfer Report/Capstock

100

Used as a storage module to house daily reports for review and auditing purposes

DataStore

100

Name a Canadian bank we use to process transactions

BMO/TD/RBC/SCOTIA/HSBC

100

Multiple Choice!

The external parties that receive the Fund Transfer and other iFAST reports include...

a) Fund Company (Client)

b) Custody

c) Fund Accounting

d) All of the above

d) All of the above

100

This associate has a 1.5 year old daughter and enjoys listening to music as a hobby

Rahul Mishra

200

A detailed listing of each unsettled purchase and redemption transaction

Outstanding Wire Order Report (Out0)

200

Workflow management tool used to retain records of transactions and backups received for payments. Also used for daily and periodic reconciliation

AWD10/AWD/Chorus BPM

200

Fill in the blank! 

Payment is made to ____ when the Fund Transfer depicts a Net Purchase

Custody

200

Fill in the blank!

The primary purpose of the $Balancing tab (first tab on the Fund Transfer) is for Cash Forecasting, which is to prevent _____

Overdraft

200

This associate enjoys bicycling on the weekends

Sajan Malviya

300

A detailed listing of settled transactions that captures all relevant components per trade, such as; iFAST account #, value of trade, fees, and related commissions

Daily Cash Report (CashDly0)

300

Houses the general ledger postings and allows for matching of trade settlements with bank account activities

Frontier

300

The team/department we work with that is responsible for printing cheques

Work Flow Services/Distribution Center

300

Multiple Choice! 

The Out0 Recon tab validates the Outstanding Wire Order balance on the Out0 with the Closing Wire Order Balance on this report....

a) FundRec

b) CashDly0

c) N$R

a) FundRec

300

This associate spends their free time sketching

Sushmita Shetty

400

Displays opening and closing unit balances per fund class and captures all fund activities and settlements

Fund Reconciliation Summary Report (FUNDREC.SUM)

400

Manual and systematic cheque application used by Trust Accounting to enter and approve manual cheque requests

WebSeries

400

Name two different payment methods utilized by trust accounting

Wire, EFT/PAC, cheque, A$M

400

Multiple Choice!

The final capstock amount total is the ....

a) NetCash Total

b) FinalTrfReq Total

c) N$MPur Total

b) FinalTrfReq Total

400

This associate's hobbies include playing cricket and watching movies

Suyog Sudhakar Jadhav

500

Retrieved from Fundserv and captures the daily settlement totals to determine the payable to/receivable from Fundserv amounts

NSM/N$M

500

Record keeping system used to investigate transactions and run reports

iFAST Base

500

The Fundserv payment deadline

1:00pm EST

500

The report retrieved from Fundserv and pasted into the "CSS" tab in the daily Fund Transfer Report, that provides a detailed breakdown summary of the daily Fundserv settlement totals  

NSR/N$R

500

This associate tracks the stock market and is a part time trader

Makul Chandra

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