Fun with Feeds/STP
Core TOMS
Lets make some $$$
FAQs
Partner teams
100

My firm needs a second back office connection. Who do I speak to, and how much will it cost?

ETEC, $30k+

100

 

Head of desk wants to monitor all books in one page in TW (tabs/macros/manager view). They also want an easy to access summary they can reference on the fly

TW Macros
TW summary panel
TW Manager view
RW


100

Head of data wants all IB history so that they can run into their own algo. What product would you suggest, and what team owns it?

IB Feed - Digital Strategy 


100

What is the purpose of function AFMT?

AFMT - firm defaults

  • Shows admins, DB count, general settings, rollout wave
  • Bits - like a decode. Shows what "switches" are enabled for clients, you can toggle them on Y or N
  • Can click on each bit to see a description
100

You are speaking with a prospect and they mention they would like a solution for ALM to build out a comprehensive risk dashboard

MARS

200


"We need to send trades done on a platform outside of TOMS via our retail platform back into TOMS for TRACE reporting"

Inbound CMF  (Consolidated message feed)
All ECNS's, BBG, use CMF feeds to push trades into TOMS.

200

Analytics team wants to analyze trade volume and hit/miss ratio from TOMS and other platforms


If they are streaming trade data from other platforms back into TOMS  - TTA
200

Client wants the ability to autoex based on trade size. They would like to apply various spreads on inquiries based on counterparty and venue

Advanced ETRL



$28,125 for advanced but only connects to BBG. Need connections. $112,500 for ETRL with connections


200

What is a FOD user, and how much does it cost a firm to have one?

  • FOD user (Firm Operational User) generally is a non-BBA user who uses TOMS on a limited access basis

  • $100 per month, set up by TOMS AM
200

A client would like to set up a new dealer page. What team handles this?

Contributions


300

"I am looking to monitor my feeds and set up alerts for when issues arrive"

What tool can they use?

  • EC - Enterprise console
    • Allows you to monitor feeds, gives access to SFTP, MQ, FIX visibility, Cert renewal, alerting of issues
    • Web based-  don't need a terminal to use it
300


What does Bloomberg TOMS offer to market makers? 



  • Streamlined trade negotiation
  • Pricing/quoting capabilities
  • Venue connections
300

Traders have an algo they would like to price off of for trades of x volume. You are talking to the rates desk who is concerned with latency in pricing. 

They would like a more customized way to respond to RFQs

BROADWAY or ETMM

300

"I would like to customize my tickets via CUTS. What are some categories of labels/fields that I can add?"


Note labels
Note fields
Commissions
Reason codes
Reg reporting
Settlement locations
Reporting 

300

Client would like to add a back office connection to support their new muni desk. What steps should you take to facilitate? Who should you involve?

- Find out if they are keeping their old back office. If so, $30+k annually to add a new one.
- GDSF entry
-Involve implementations. $30k implementation fee

400

"We need to stream TOMS pricing set in PSU to an external platform"

FIX offering 

400

Client would like to contribute quotes from TW<GO> to ALLQ. What needs to be checked/set up?

1) SUIP - TOMS Admin only; enable offerings for ALLQ and ECN's on Book & Price Levels.
2) TW Offerings Management - TW<GO> >> Actions >> Offerings >> Intraday & Default
3) PSU - Amount for at least one side of the market is needed to offer to ALLQ.
4) CPT - Offering Trader for each Level
5) ETWS - AutoEx settings for a security
6) ETPS - Trader Settings: Status & ET Subscription
7) AET - Execution Trader for each Level
8) ETRL - To create routing rules; a must for non-inventory 




400

Client has TOMS and MARS. Currently, user extracts data from TW and uses a trade feed but doesn't have an intelligent way of compiling it to make meaningful assessments.  

What are some native and premium TOMS tools they could use?

TBLT
TTA
BQL
TH reports

400

Whats the difference between outside user, non privileged user, and privileged user?

Outside -  A user who does not have a log-in under an account linked to the pricing number
NonPriv -  user who has a log-in under an account linked to the pricing number, or who has been added as an external user, but who does not have trading or sales access
Priv  -  Users who have trading or sales access to TOMS 

400

Client would like to be enabled for FIT. Where can they trade? Who should you involve?

Where you can trade

  • ALLQ
  • BOOM, DOCP, ECPX
  • FIT, AGCY, BBTM, BBTI, MBWD (muni buyside) PICK (muni offerings)

    Questions go to FIT
500

What are some of the products in the advanced ETEC offering, and what are they used for?

FIX - sending prices from PSU to venues
SSOX open order - automate bid/offer
ADF - positions and transactions
CMF - accept drop copies
Open CPTY - accept CPTY updates from back offices
IPREO - new issues
TTA - details on execution 

500

How can I automate my offerings?

  • Setting up offering defaults in ETPS
  • Using ETWS to auto-quote securities
  • Using PRCE to price newly added securities
500

A muni trader is looking for a way price more bids-wanted for inventory and non-inventory bonds. They would like a way to derive a price based on a set of bond attributes. 

TIGR  - Trader Interactive Guard Rails (TIGR). At its core is the ability to rapidly and reliably generate curve ranges for user-created, feature-based groups of bonds.  Create groups of bonds based on attributes, expressed as guardrails

Scales -  Scales Engine enables you to build a spread curve based on bond attributes. You can choose from 25+ bond attributes to group, and price together using curves.


500

Why can't I delete my position or pricing record completely?

The reason you cannot delete a book is because you still have positions and pricing record(s) in PSU

1) you would need to flatten our your positions, by either manually entering reverse positions/tickets, or using {LATT <GO>} function (the latter is used in case you have multiple positions - setting Transfer = ALL, Account = Journal)

2)  delete PSU record -  PSU record per each security gets deleted automatically once you remove any positions for this security after back end (i.e. The next day) if your book is set to 'purge zero positions', so you can delete the book tomorrow.

500

Client is attempting to pull BVAL price through their feeds, however field is not populating 

Client needs to be papered for BVAL to pull into feeds. Speak to Data rep 

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