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Procedures - Reference Data | Adding Trading Partner Locations
Trace balances provide read-only balances with trace references for different combinations of location, product and account.
This is for Account tracing. This helps identify untraced consignments.
Field | Description |
---|---|
First Transaction Date | Sending date of the oldest transaction for this combination of account, product and trace reference. |
Last Transaction Date | Sending date of the most recent transaction for this combination of account, product and trace reference. |
Trace Reference | Either sender or receiver reference. |
Balance | Positive balance means untraced, negative balance means over-traced. |
This is for Site or Loan tracing. This helps identify untraced references at site locations where site-level tracing applies, making it easier to spot if relocation transactions are incorrect or missing.
Field | Description |
---|---|
First Transaction Date | Sending date of the oldest transaction for this combination of location, account, product and trace reference. |
Last Transaction Date | Sending date of the most recent transaction for this combination of location, account, product and trace reference. |
Location | Either site, trading partner or service centre. |
Responsible Site Location | Responsible site assigned to the settlement transaction. |
Trace Reference | Either sender or receiver reference. |
Balance | Positive balance means untraced, negative balance means over-traced. |