Dec 28, 2024 - v2.0.281
Skipped due to y/end
Dec 7, 2024 - v2.0.279
- Enhanced schema implementation - All participants opted out - further changes with 283 t/over
-
Atlantis widgets - SubAssetClass filter added for all widgets; additional month available for selection
- Translation rules - Two new matching fields added for rule creation (ccpAccountType & initialBroker)
- FMX Exchange - Trade feed from LCH now enabled for Atlantis settlement
- Minor enhancements & bug fixes
Nov 2, 2024 - v2.0.277
-
New fields (placeholders until enhanced schema is live) added to ‘Enhanced’ trade reports
-
Settlement report logic updated - netting is now only within FeeType & not across FeeType in line with Banking report
- Minor enhancements & bug fixes
Oct 5, 2024 - v2.0.275
- CCP Account type incorrect mapping updated for CME Group
-
Minor enhancements & bug fixes
Sep 7, 2024 - v2.0.273
-
Mandatory infrastructure upgrade (.Net 8)
- Multiple Agreement Matches, Rate Schedule Issues & No Agreement Found report improvements: CannotSettleReason & Reviewer added. Formatting improvements & column names normalised
- Unclaimed reports now produced on an opt-in only basis
Aug 10, 2024 - v2.0.271
-
Use Voice Execution method prior to default rate for ETD Blocks
-
Summary grid auto-refresh (new checkbox to turn off default behaviour)
-
Settlement cycle no longer stamped for settlement ineligible activity
-
FMX: VC Job & folder structure for new Exchange
-
CCPAccountType - now populated for CME group {from August 12th onwards}
-
Minor enhancements & bug fixes
Jul 13, 2024 - v2.0.269
- Payer Amend (As Receiver) via UI & Upload template {EB/Receiver & CB/Payer updates de-coupled}
- Receiver & Payer Target fields for translation rules
- Removal of Netting for Cash Adjustments
- Functionality to auto-trigger FeeLookupSuccess messages (on request)
- Minor enhancements & bug fixes
Jun 15, 2024 - v2.0.267
-
EBTS/CBTS Business Date Validation (TMX)
- TPP rules - new filters
- Minor enhancements & bug fixes
May 18, 2024 - v2.0.265
-
Summary grid download restricted to 100k records
- Translation rules new target fields for Payer/Receiver - UI
-
New aggregation - CCPAccountType
- Minor enhancements, improved logging & bug fixes
April 20, 2024 - v2.0.263
-
SGX Tag1031 - new field in SGX exchange files (SGX release 27th April)
- EBTS/CBTS trade date validation - blocked submission of archived trade periods
-
New Eurex tag persistence - CCPAccountType, TESInitiator, InitialBroker in Details/Fee Lookup
- Population of ProfitCtr in new EOD Trade reports
-
Automated archival of unsettled ineligible activity at 12 months {backlog catch-up will begin in May}
- Minor enhancements & bug fixes
March 23, 2024 - v2.0.261
- Further changes to new 'Enhanced' Trade/Settlement EOD reports - now available for opt-in
- Minor enhancements & bug fixes
February 24, 2024 - v2.0.259
- New Enhanced Settlement reports - available for opt in effective 1st April
- New Enhanced Trade reports - available for opt in effective 1st April
USLO Ratecard bug fixes
- Segregate settled/unsettled archive dates - unsettled archive reports are now triggered post Close
- Mitigation against OCC rejects
- Addition Eurex FIXML tags pulled into Atlantis DB
- Affirmation/Approval metrics report query change
January 27, 2024 - v2.0.257
No release - Atlantis remains at 255
January 6, 2024 - v2.0.255
End of Cycle (EOC) changes
- Minor bug fixes
December 2, 2023 - 1.0.253
USLO eModule - Product ref data additions, UX improvements & bug fixes
Background work for EOC changes
- Minor bug fixes
November 4, 2023 - 1.0.251
USLO eModule - ability to download populated ratecard
Widgets - Settlement Summary widget changes {SubAssetClass filter, exportable report, formatting)
- Stabilize PSIM archive process
- Minor bug fixes
October 7, 2023 - 1.0.249
- Translation rule enhancements
- Automated 24 month archival {within the 25th month) of unsettled trade activity
- Minor bug fixes
September 9, 2023 - 1.0.247
- Ability to cancel trades via excel upload when source participant
- USLO ratecard improvements
- Minor bug fixes
August 12, 2023 - 1.0.245
- Atlantis Framework upgrade {final changes}
- Minor bug fixes
July 15, 2023 - 1.0.243
- Atlantis Framework upgrade
- Minor UX changes (Notifications tab - open in new tab)
July 01, 2023 - 1.0.242
- Atlantis Framework upgrade
May 20, 2023 - 1.0.239
- Code Freeze: Mandatory upgrade
Apr 22, 2023 - 1.0.237
- Code Freeze: Mandatory upgrade
Mar 25, 2023 - 1.0.235
- Code Freeze: Mandatory upgrades
Feb 25, 2023 - 1.0.233
- Blocks: New SubAssetClass aggregation (Summary/Downloads)
- Blocks: Backload to Jan 1 2023 (PSIM)
- Blocks: DB changes
- USLO rate card development/functionality (PSIM)
- Nasno: Opt-in function
- Widgets: Normalised duration selections
- Various bug fixes and minor enhancements
Jan 28, 2023 - 1.0.231
- Eurex Next Gen enhancement – Contract Day {Eurex go live March 27th}
- USLO rate card development/functionality (PSIM)
- UI Summary: Settlement Cycle – filter improved
- UI Agreements: Agreement Type filter added / Group ID added
- UI Summary: Default tab filter improvements
- AgedActivityByReviewerState bug fixes
- Other minor formatting changes & bug fixes
Dec 3, 2022 - 1.0.227
- Banded Rate calculation
- USLO ratecard development/functionality (PSIM)
- Various bug fixes and minor enhancements
Nov 5, 2022 - 1.0.225
- Expedited USLO reversal process (reports & reversals actioned in the first settlement cycle)
- Prelim work for USLO ratecards
- Various bug fixes and minor enhancements
Oct 8, 2022 - 1.0.223
- New Accelerate widget - 'Aged Activity by Reviewer State'
- Additional granularity Affirmation/Approval metrics reporting
- Various bug fixes and minor enhancements
Sep 17, 2022 - 1.0.221
- Nasdaq (NASNO) live in PROD
- Enhanced metrics reporting - Approval metrics
- Various bug fixes and minor enhancements
Aug 13, 2022 - 1.0.219
- Nasdaq (NASNO) renovated feed preparatory work for PROD go live (in PSIM for firm testing)
- Various bug fixes and minor enhancements
Jul 18, 2022 - 1.0.217
- Nasdaq (NASNO) renovated feed preparatory work (in PSIM for firm testing)
- Notifications - date picker added to enable users to search reports up to 90 days (previously 30)
- Various bug fixes and minor enhancements
June 27, 2022 - 1.0.215
- ICE renovated feed (live) - effective June 1st
- Various bug fixes and minor enhancements
May 23, 2022 - 1.0.213
- Translation Rules migration by FIA Tech Admin
- Summary Grid - Trade month now sortable in excel export
- Payer participant update per provided agreement ID
Mar 28, 2022 - 1.0.209
- EFRP adjustments utilising product underlying CCY
- Minor changes to Accelerate dashboard widgets
- Various bug fixes and minor enhancements
Feb 28, 2022 - 1.0.207
- ICE renovated feed further preparatory work (not yet live)
- USLO Reversals Report available in Notifications
- Various bug fixes and minor enhancements
Jan 31, 2022 - 1.0.205
- Atlantis Summary - Grid column formatting enhancements
- ICE renovated feed preparatory work (not yet live)
- Various bug fixes and minor enhancements
Dec 4, 2021 - 1.0.201
- Product list - move to Reference Data sub menu
- Renovated "NonExecutedAgreementVolume" report available
- Various bug fixes and minor enhancements
Nov 8, 2021 - 1.0.199
- Eurex T-0 Connectivity (live)
- Various bug fixes and minor enhancements
Oct 11, 2021 - 1.0.197
- FIA Tech billing enhancements
- FIA Tech Level 1 Support User bug fixes
Sep 13, 2021 - 1.0.195
- Static Units of Measure fee calculation
- FIA Tech Level 1 Support User and Banking Administrator
- Prelim/Final Trades CSV for Clients as Payer
Aug 16, 2021 - 1.0.193
- Eurex T-0 Connectivity (not yet live)
- USLO billing and reporting
Jul 17, 2021 - 1.0.191
- Eurex T-0 Connectivity (not yet live)
- 2018 unsettled report for participants
- Archival of stray 2017 trades (Jan-Mar)
Jun 21, 2021 - 1.0.189
- EFRP Block Agreements in Block Trade fee calculation
- US Listed Options fixes and enhancements
- 2017 Archived Trades CSV - 2nd of 2 runs
- Start unsettled 2017 fee archival
May 24, 2021 - 1.0.187
- Eurex T-0 Connectivity (not yet live)
Apr 26, 2021 - 1.0.185
- OCC US Listed Options Integration
Mar 29, 2021 - 1.0.183
- Historical Fee Archival capability
- Docs API v2 implementation
Mar 1, 2021 - 1.0.181
- Bulk Settlement and Close-out Process enhancements
- Participant Exchange Onboarding process
- Docs API v2 implementation
Feb 1, 2021 - 1.0.179
- Bulk Settlement and Close-Out Process enhancements
- Participant Exchange Onboarding process
Dec 7, 2021 - 1.0.175
- Bulk Settlement and Close-Out Process enhancements
Nov 9, 2020 1.0.173
- Trade Close-out Process
- Banking Transformation
Oct 12, 2020 1.0.171
- Trade Close-out Process
- Banking Transformation
Sep 13, 2020 1.0.169
- Bug fixes and enhancements
- Banking Transformation
Aug 31, 2020 1.0.168
- Bug fixes and enhancements
Aug 16, 2020 1.0.167
- End of Cycle Banking Report in Notifications
- Atlantis Banking Administrator role in Accelerate UserHub
Jul 13, 2020 1.0.164
- Non-executed Agreement volume for Docs users
- FIA Tech Internal / Client Services Efficiencies
| Type | Summary |
| Story | Implement ExchangeProduct cache for fee lookup |
| Story | Upgrade Atlantis project to .NET 4.7.2 |
| Story | Performance tuning of the cycle linking process |
| Story | Allow fees adjusted with Draft agreements to settle once executed |
| Story | Dates should be formatted accordingly on excel extracts |
| Story | Dates from Docs agreements are utilizing the UTC values instead of the proper localization |
| Story | Disable metrics detail reports |
| Story | Fix check box column in Account translation. |
| Story | "8" prefix removal from NEWE Clearing Accounts and Give-up Refs |
| Story | Allow for fees to be reset as part of historical rule moves |
| Story | Product Mapping, LDEB Transaction Types, LDEB Spread Types, LDEB Execution Methods without counts in Admin Extracts |
| Story | Institution Settings in Admin Extracts |
| Story | Create mock/fake for MQ message sending within unit tests |
| Story | Modify web/batch dependency injection to leverage mock in unit tests |
| Story | Add ClearingAccountType to the DalClearingAccount model from Docs |
| Story | Show default execution method to the user on agreement detail views |
| Story | Deco Egus to Docs converter |
| Story | Modify the Atlantis EOD to begin immediately following date roll |
| Story | Add new docs report extract to weekly process |
| Story | Remove shared DbDeadlockException in Atlantis |
| Story | Split legacy firm file for requesting FCM |
| Story | Synchronize batch jobs |
| Story | Display clearing account type on agreement extract |
| Story | Fix for all Download and Upload Buttons |
| Story | Remove the Atlantis API project |
| Story | Modify Docs Rest API configurations to new endpoint for production |
| Story | Non-executed agreement volume in Docs Pending Actions widget |
| Story | CB + EB + Executing Account as final pass in FCaaS |
| Story | Restrict the creation of aged extracts to only those firms that have opted-in |
| Story | Additional logging on Docs import failures |
| Story | Create internal fee calculation daemons for system-triggered calculations |
| Story | Update the entitlement role when decommissioning the EAL side of the content |
| Story | Evaluate RS missing rate lines as Agreement missing RS |
| Story | Decommission EAL content |
| Story | Store industry metrics for historical reporting |
| Story | Add Anti-Forgery validation to Api calls in AtlantisWeb |
| Story | Make EventMessageConfiguration.IsPersistent required - and related config changes for existing cache entries |
| Story | Add additional logging when network drive unavailable (POC) |
| Story | Monitor multiple queue managers from single batch flow |
| Story | Decrease delivery time for settlement metrics |
| Story | Remove historical models no longer used for billing report |
| Story | Modify MQ Stats Helper for better interactive usage |
| Story | Modify MQ Stats Helper for batch processing |
| Story | Make MQ Stats Helper available outside Atlantis |
| Story | Updated Atlantis Messages xls |
| Story | Update Atlantis Messages Schema to Include FeeSettlement messages |
| Story | Add new Docs rate types to agreement import |
| Story | Update batch notification flow to properly alert on timeouts |
| Bug | STDCO Agreement Not Picking up on Atlantis |
| Bug | AgreementValidityType are not getting updated consistently on aggregate/fees |
| Bug | Comment Box in Payable Fee lookup panel should not expand beyond the page |
| Bug | Agreement import failure skips further agreements from being imported |
| Bug | Cache is not refreshed after Dal party is associated |
| Bug | Fees stuck in Fee Amount From Unofficial Agreement |
| Bug | Download Button is dislocated when Agreement Details are downloaded. |
| Bug | Custom values are not saved if Rpty=15 /16 files are posted together |
| Bug | Add a checkbox to select and uncheck all fees on a summary grid. |
| Bug | UI Bugs for Bulk Settlement 2018 |
| Bug | Settlement Status is not filtering properly |
| Bug | LdebCmeQueueDrainer: Retry delete if there is an IO exception |
| Bug | Fix column header names in grids for interned explorer browser. |
| Bug | Events are not raised for stale agreements |
| Bug | Change error message when approved fee rejected. |
| Bug | Atlantis UI bug. (Bulk Settlement 2018 Page.) |
| Bug | Any OPS extracts should not use EAL. |
| Bug | Rate type with with invalid enum values can be imported. |
| Bug | Agreements Grid breaks after excel download. |
| Bug | Text is not fully seen in select bar on Extracts, Reference Data, Fee Actions. |
| Bug | Create DalAgreementCleanup VC Job |
| Bug | Change the order of actions in Payable Summary Screen and Fee Look Up. |
| Bug | Change AC to PA for a Propose CA when Action panel is closed. |
| Bug | Agreement import fails due to executing account duplicates |
| Bug | Grid breaks up on agreements page. |
| Bug | Fix Download Grid button in summary screen. |
| Bug | Fix "Your session has expired" pop up. |
| Bug | Unable to do agreement adjustment when EB is listed as OPB Via UI |
| Bug | Performance tuning of triggering fee recalculations based on reference changes (DAL) |
| Bug | Payers actions are missing on Fee Look Up payable. |
| Bug | CME updates failing to take update when giveup is also being canceled |
| Bug | Remove Ealagreement Id from the Agreement download grid for non fiatech admin users |
| Bug | Default Execution method is not shown in agreements details view and rate schedule details in Fee Look Up. |
| Bug | Fix spelling in " An error occured while performing the operation. Please try again." message. |
| Bug | Fix calendar box when following month is selected. |
| Bug | Filter icon is not seen in Last Modified column on agreements grid. |
| Bug | Duplicate Executing Accounts with different expiration dates |
| Bug | Bulk Settlement 2019 UI bugs. |
| Bug | Incorrect model version for sprint 159 |
| Bug | Default Execution method is not shown on Rate Schedule Detail. |
| Bug | When Action Panel is closed in Fee Look Up Payable only Amend Action is visible. |
| Bug | Account translation issues. |
| Bug | Hide Remove in Exchange Product Associations. |
| Bug | Fix Actions order when panel is closed in Payable. |
| Bug | CLONE - Fix "Your session has expired" pop up. |
| Bug | Bulk Settlement 2019 UI bugs (2). |
| Bug | Compressing over the network causes IO exception |
| Bug | Fragile test case (note target) |
| Bug | Docs report extract fails utilizing test data |
| Bug | Rename EalAgreement Id to DalAgreement Id in excel download via download grid for Fia-tech users |
| Bug | Fix Check box column in Agreements grid. |
| Bug | Fix Account Translation Grid |
| Bug | Incorrect configuration for ERECS fee calculation |
| Bug | Exchange File Processor has assumed types of environments |
| Bug | Unable to download the agreements to excel |
| Bug | Lock Rule ID column on accounts translation grid. |
| Bug | Fix for all Download and Upload Buttons (Part 2) |
| Bug | Unable to start Agreement Importer |
| Bug | Performance tuning of fee calculation triggers |
| Bug | Remove Dal agreement Id for non Fia-tech users |
| Bug | Change info text for Exchange Firms in Ldeb Exchanges. |
| Bug | Adjust detail bars on User Account. |
| Bug | Notification screen is not loading in Test |
| Bug | Metrics files not created. |
| Bug | Unable to amend an agreement for fees with Payer/Receiver participant missing |
| Bug | Cannot Settle reason "PendingClearingAccountAddition"must be presented |
| Bug | Error trying to amend fees (re: direct bill/adjustments) |
| Bug | Docs Vol Extract filename is not as per standards |
| Bug | Agreement Validity should change from Draft to Prioritized Draft |
| Bug | Hide remove option in reference data for Business Line. |
| Bug | Error is not shown in Notifications screen if an agreement import fails due to bad data |
May 18, 2020 1.0.153
- New Docs API bug fixes and enhancements
- Major stability and performance improvements
| Type | Summary |
| Story | Decrypt API key for connectivity to the REST API service |
| Story | Step one for Bulk Settlement 2018 |
| Story | Add escalating rates by Trade Month to monthly invoices |
| Story | Change Atlantis MessageSenderService to use Publication instead of sending to Queues |
| Story | EAL to DAL data migration |
| Story | Include TC/PC records for eligible intrafirm trades in Trades and Settlements CSV |
| Story | Disable nightly billing report |
| Story | Additional content from CME FIXML in Custom Values #2 |
| Story | Source Participant in Product Mapping extract |
| Story | Expand monitoring of dead letter queues |
| Story | Modify the fee calculator to fail if unsupported docs rate lines are matched |
| Story | Create jobs necessary for supporting new Docs REST API imports |
| Story | Add participantCode as correlationId to Hub based outbound message publications |
| Story | Move atlantis.css file from Accelerate solution back to AtlantisWeb |
| Story | Allow for search on notifications to search the report file name |
| Bug | Link fees processor fails in development |
| Bug | Unable to save the products and product groups from the Docs REST API |
| Bug | Random failures of daemons and batch processes after removing EAL access |
| Bug | Modify the Eal to Dal conversion to handle the enumeration changes |
| Bug | Incorrect configurations for agreement and reference importers |
| Bug | Enumerations are not loading from REST API |
| Bug | Unable to set Allow Intrafirm Settlements in Participant Reference Data |
| Bug | Unable to remove Docs Party association |
| Bug | Unable to do agreement adjustment when EB is listed as OPB |
| Bug | Tax Rate Country Code Filter allows only numerical values . |
| Bug | Spinning wheel appears while associating a Docs Party to Ldeb Participant |
| Bug | Performance tuning of triggering fee recalculations based on agreement changes (DAL) |
| Bug | Fees being linked to settlement cycle in evening flow are not sending updates downstream |
| Bug | Duplicate agreement events raised |
| Bug | Auto mapper mapping error for fee actions |
| Bug | Aggregation validation throwing false negatives on nightly process |
| Bug | Aged fees being sent for settlement do not send notification when added to a cycle |
| Bug | After currency synchronization, fees are not being added to a cycle |
| Bug | Max value is not seen in Excel agreement details. |
| Bug | Event cleaner not compatible with DAL |
| Bug | Docs agreement not available for download and failing agreement import |
| Bug | Cannot manually load agreements without encrypted password present |
| Bug | Agreement with numbers as values for all rate schedule fields can be imported. |
| Bug | Draft agreements which have no clearing accounts do not trigger fees for recalculation |
| Bug | State and Last Modified filter in Agreement screen does not return filtered results |
| Bug | Restrict duplicate fees within an uploaded excel file |
| Bug | Rename the field EalAgreement Id to DalAgreement Id in fee look up screen |
| Bug | Ordering is not working for State and Last Modified in Agreements page. |
| Bug | GiveUp has wrong rate schedule if fee is rate or amount adjusted with agreement id |
| Bug | Drop down values are not displayed while adding settlement accounts |
| Bug | Comment Box should not expand beyond the page. |
| Bug | Aggregate cleanup failing on contention |
| Bug | Saving Docs exchange creates EGUS notification instead of Docs |
| Bug | Modifications from Docs API raising unnecessary cache refresh events |
| Bug | Hide max default value for Clearing, Executing account (Effective, Expiration Date) in Excel Details. |
| Bug | Changes to blanket agreements do not raise events to recalculate events |
| Bug | Value starts increasing from 1800 in Trade Year filter. |
| Bug | Text is not fully seen in translation fields. |
| Bug | Spinning Wheel issue in Translation Rule |
| Bug | Rename Eal to Dal in Alternative Execution Method in Fee Look Up. |
| Bug | Rename Eal Agreement ID to Dal in Ldeb Give Up section of Fee Look Up. |
| Bug | Grid Columns separating line is missing on other browsers. |
Nov 18, 2019 1.0.147
- New Docs API go-live
| Type | Summary |
| Story | Modify docs serializer and converter to ensure non-required fields are presented in the view model as empty |
| Story | Default execution method is presented differently in DOCS SOAP vs REST API |
| Story | Cover Docs serializers and importers with unit tests |
| Story | Cover deamon layer with unit tests for new DAL |
| Story | Cover batch/persistence layer with unit tests for new DAL |
| Story | Modify manual fee migration scripts for new fee sync updates |
| Story | Unsupported rate calculations should not be included in maintenance |
| Story | Create Storage Report for all participants |
| Story | Sort Translation Rules by Rule ID descending |
| Story | Amend BNP fees on recurring schedule in Psim |
| Story | Store the CreatedOn and UpdatedOn fields for reference information from Docs |
| Story | Draft status resolution |
| Story | Create Dal version of AgreementCleaner SQL Agent job |
| Story | Convert nomenclature for existing DOCS fields in the model |
| Story | Allow for party ids to be alpha-numeric |
| Story | Add retry logic to the Rest API client for missing agreements |
| Story | Agreement link in Fee Lookup should navigate to Docs if user is entitled |
| Story | Calculate with simple electronic execution method before default rate |
| Story | Add functionality to make driving report creation easier. |
| Story | Support the new DAL linked objects within the serializers (Delayed Testing) |
| Story | Modify agreement screen to show new nomenclature |
| Story | Modify agreement download to show new and updated fields |
| Story | Configuration requirements for enabling the new Docs API within Web and API |
| Story | Configuration requirements for enabling the new Docs API within Fee Calculator dependencies |
| Story | Add retry logic to the Rest API client (Delayed Testing) |
| Story | Default exchange currency for adjusted EFP zero fees |
| Story | Awaiting Affirmation and Awaiting Approval formula change for metrics and dashboard |
| Story | Add trade year to summary screen |
| Story | Create No Agreement Found and Rate Schedule Issues report on recurring basis for all participants |
| Story | AggCalcMetricsWithAdjusted changes in support of Metrics project |
| Story | Install three new Web servers in PSIM (Web6-9) |
| Story | Modify Exchange external filter text |
| Story | Invoice firms for bulk settlement based on the matrix estimate |
| Story | For invoice data, show the calculated micro status based on combined settlement |
| Story | Change existing banking to only include last 2 months |
| Story | Remove ProductGroupName from DalProductGroups |
| Story | Create Dal version of AgreementCleaner |
| Bug | Null Reference exception in dal fee calculator |
| Bug | Fee lookup raising error instead of finding fee |
| Bug | Fee lookup raising error instead of finding fee |
| Bug | Aggregation validation is not returning incorrect aggregations |
| Bug | Services are not starting because unity configuration |
| Bug | Update Participant setup script to pass correct host for UserHub database |
| Bug | Receiver /Payer and source participant codes are missing in fee look up screen |
| Bug | Performance tuning of triggering fee recalculations based on agreement changes |
| Bug | UpdateOn ("0001-01-01T00:00:00") is added in Json in Ref. data for Exchange, Parties and Prod.Group. |
| Bug | Effective date ("0001-01-01T00:00:00") is added in Json |
| Bug | Created on date /time stamp is converted to all zeros in Json |
| Bug | Time to Lock widget is counting down in local time instead of ET |
| Bug | Weekly aged reports are not getting generated when payer lock falls on a Friday |
| Bug | Atlantis UI bug. (Bulk Settlement 2017 Page.) |
| Bug | SqlLogin script has some user hub dependencies |
| Bug | Remove retry logic in Fee Agg Service |
| Bug | EFP Agreement ID Drops Off When Calculating Rate |
| Bug | Add agreement types to import values in DALAgreementimport config file |
| Bug | Party Code is converted as Legal Entity Identifier in Json. |
| Bug | No error is shown in CMD when wrong ConvertFile path is provided for Reference Data Convert. |
| Bug | LastModified ("0001-01-01T00:00:00") is added in Json |
| Bug | Hide Min, Max default values in Agreement grid and Excel Download. |
| Bug | CLONE - No error is shown in CMD when wrong convertType is provided for Reference Data Convert. |
| Bug | FIA Admin is able to create translation rule with priority as negative value. |
| Bug | Error while looking up fee |
| Bug | DAL applications have EAL* meta info. |
| Bug | Fix Checkbox column on Agreements page. |
| Bug | Atlantis UI Bugs (2) |
Sep 16, 2019 1.0.143
| Type | Summary |
| Story | Configuration requirements for enabling the new Docs API within various processors |
| Story | Allow for agreement ids to be alpha-numeric |
| Story | Add interfaces for DalReference/Agreement Processor |
| Story | Party role change resolution |
| Story | Convert Interim Cache Refresh into XSD (Delayed Testing) |
| Bug | Expand timeout on weekly agreement validation job |
| Bug | Bulk Settlement fails on Clearing Participant validation when payer and clearing participants are different |
Sep 2, 2019 1.0.142
| Type | Summary |
| Story | Adjust prod sql cnames |
| Story | Support the new DAL linked objects within the serializers |
| Story | Convert Interim Cache Refresh into XSD |
| Story | Add retry logic to the Rest API client |
| Story | Performance tune summary screen data retrieval - Null Error when participant is not in Atlantis |
| Story | Move to new 2016 version of web server in DEV and TEST |
| Bug | Edit is not working in Account Translation. |
| Bug | Summary screen counter party external filters not working when fee actions or download are performed |
| Bug | Fix spinning wheel location for Download details. |
| Bug | Unable to see full content of the message |
| Bug | Trace events are not logging from web controllers |
| Bug | Diagnostics reporting errors when no aggregates are returned |
| Bug | Fee lookup does not work by source reference |
| Bug | Fees not recalculating or resyncing on addition of initial settlement account |
Aug 19, 2019 1.0.141
| Type | Summary |
| Story | Angular framework setup |
| Story | Automatically generate sentOn and messageId for CSV uploads |
| Bug | Consolidate CME updates with new postings |
| Story | Convert existing SOAP XML to REST JSON for agreement data |
| Story | Convert existing SOAP XML to REST JSON for reference data |
| Story | Duplicate Eal* service layers and tests for DOCS REST API |
| Story | Performance tune summary screen data retrieval |
| Story | Remove LinkedClearingAccounts logic from all DAL processes |
| Story | Reorder indexes for Agreement content |
| Bug | Summary View Tab delete fails when html special characters are present in the view name |
| Story | Updated 'Settlement Calendar' link in Atlantis footer |
| Bug | Uploaded or created translation rule must be unique. |
Aug 5, 2019 1.0.140
| Type | Summary |
| Story | Differentiate between unsupported rate types and information missing for rate type |
Jul 22, 2019 1.0.139
| Type | Summary |
| Story | Optimize store procedures used by Atlantis dashboard widgets |
| Story | Build location for storing Docs content in Atlantis |
| Bug | Settlement data is showing at institution level. |
| Bug | Scroll Bar appears when reset is clicked in Aggregation Chooser. |
| Bug | Deletion of settlement account is not updating CSR |
| Bug | UI Bugs in Atlantis App Logs. |
Jul 8, 2019 1.0.138
| Type | Summary |
| Story | Remove old SFTP processes from exchange file processing |
| Story | Minor widgets changes |
| Story | Resolve intrafirm settlement status on fees when participant setting is changed |
| Story | Show success message when translation rule upload was successful. |
| Story | Exchange suppression Cannot Settle Reasons prioritized before Fee Amount Missing |
| Bug | Widget name does not fit when renamed to a max characters. |
| Bug | Update of ParticipantBusinessline settings via xml is not working |
| Bug | Metrics file has wrong header in AsClearingParticipant and AsExecutingParticipant tabs |
| Bug | Adjust the columns in Institution section |
| Bug | Add AllowIntrafirmSettlement column |
| Bug | System should throw proper error message while adding second institution |
| Bug | Fee sync process validating changes incorrectly |
| Bug | Error message is presented after add/edit Institution in UI |
| Bug | 'Atlantis Messages' should be 'API Specification' in Atlantis footer |
| Bug | Restrict CME feed to only GPS markets |
| Bug | Fragile unit test |
| Bug | Active columns moved under Available columns when Reset in Aggregation Chooser. |
| Bug | Change formula for % awaiting affirmation in metrics file |
Jun 24, 2019 1.0.137
| Type | Summary |
| Story | Additional content from CME FIXML in Custom Values |
| Story | Atlantis Settlement Metrics widget |
| Story | Atlantis Settlement by Trade Month widget |
| Story | Atlantis Aged Volume by Broker widget |
| Story | Allow for intrafirm settlement to be set via bulk serializer |
| Story | Allow for modification of institutions from participant reference data screens |
| Story | Utilize lookup services when creating translation rules |
| Story | Update Receiver/Payer Lock countdown link |
| Story | Modify Participant Business Line Settings to determine Intra-firm fees |
| Story | Intrafirm settlement is not required but optional for settlement |
| Story | Performance tuning of extract processes |
| Bug | Non FIA Admin with Atlantis diagnostics user role is directed to User Hub Diagnostics. |
| Bug | Eurex submission files raising errors due to invalid content |
| Bug | Allow user to filter Atlantis and AtlantisApi in App logs. |
| Bug | Negative amounts are allowed in Rate and Tax Rate filters. |
Jun 10, 2019 1.0.136
- Agreement Adjustment from Summary UI
- Client Service Efficiencies (Onboarding & Reporting)
| Type | Summary |
| Story | Allow fee lookup for fees by source participant |
| Story | Remove calculation payload for source participants |
| Story | Rule upload via XML for FIA Tech Admins |
| Story | Capture underlying agreement information when multiple agreements have different rates |
| Story | When fee is recalculated, retain the prior agreement if possible |
| Story | Automate clearing of aged messages on dropped connections |
| Story | Opt In Date in LDEB Participant Firm Code Information extract |
| Story | Allow for copy out of rules for easier management of ZD tickets |
| Story | Link to AtlantisMessages.zip from the web |
| Story | Sync new banking template to Participant |
| Story | Price CCY is not populated in OCC trades in LDEB Give Up |
| Story | Agreement Amend from Summary Report |
| Story | Allow for fields within the CSV to be ignored when sent |
| Story | Disable PSIM simulation for BNP participants |
| Story | Disable simulation for PRSM participants (Redux) |
| Story | Move the AppLog structure to the individual apps |
| Bug | Add Payer Amend in Fee Look Up (Receivable) for fees under payer review. |
| Bug | Source Participant did not receive FeeAmended message |
| Bug | Tax rate is not updated in Fee Look Up and Summary when Undo Adjustment for fees posted without Tax. |
| Bug | Aggregations on close do not match the underlying fees |
| Bug | Metrics generation failing on timeout |
| Bug | Notifications not getting completed. |
| Bug | System calculated Notional Amount is not presented in Fee Lookup and excel download |
| Bug | Fee Amend via csv fails |
May 13, 2019 1.0.134
- % Notional and BPS Fee Calculation
| Type | Summary |
| Story | Refactor Metrics procedure to use database functions |
| Story | Add additional logging to aggregation service |
| Story | Validate aggregate hashes against their dimensions |
| Story | Use BPS rate lines from Docs rate schedules |
| Story | Validate Price Currency and Notional Amount for %Notional and BPS calculations |
| Story | Create location for storage of static product information |
| Story | Rename LDEB Top Ten Missing Clearing Accounts, LDEB Fees Missing Exchanges or Products in Admin Extracts |
| Bug | Keep Payer Amend in Fee Lookup (Payable) for fees under receiver review. |
| Bug | Posted Clearing Broker Participant is not populated in Fee Look up when Payer Amended. |
| Bug | Excel Undo Adjustment is not functioning |
| Bug | Change Error Text for Admin fee Actions. |
| Bug | Cache refresh event is missing for Participant Business line settings in Atlantis Service |
| Bug | Agreement details list matching criteria in incorrect order |
| Bug | Payer not being updated when clearing participant rule is applied |
Apr 29, 2019 1.0.133
- Enable / Disable Intrafirm and Institution Settlement
| Type | Summary |
| Story | Configure tax support for production |
| Story | Pre-filter statistics for system health checks |
| Story | Determine intra-firm fees based on their institution rather than participant |
| Story | Opt in Date is not populated when Exchange firm is added |
| Story | Disable simulation for PRSM participants |
| Bug | AM (Amend) is missing when action panel is closed in summary screen |
| Bug | Keep Payer Amend Fee Look Up Action for trades under receiver review |
| Bug | Decimals are not shown in Excel when max characters used for notional amount and premium |
| Bug | Fee calculation not prioritizing agreements having no executing accounts |
| Bug | Cannot Amend Exchange Firm Code in Participant Screen |
Apr 15, 2019 1.0.132
- Bug fixes
| Type | Summary |
| Story | Convert the excel upload dropdown to a type ahead |
| Bug | Payer fee Amend is not functioning from Fee Look Up. |
| Bug | Exchange Trade Processor needs rounding when premium amount has more than 4 decimal places |
| Bug | Unable to add Exchange firm codes from LDEB Exchange screen |
| Bug | Adjust the columns to display complete text in Message Publication section |
| Bug | System should present a clear error message |
| Bug | Participant list is missing for excel upload |
| Bug | Adjust column widths in Fee Lookup |
Apr 01, 2019 1.0.131
- Participant Billing
| Type | Summary |
| Story | Update high water monitor for XCBT |
| Story | Calculate average month settlement off last six months for billing |
| Story | Adjust billing for addition of new firms |
| Story | Reference Data in Admin sub-nav menu |
| Story | Add OptIn date to LdebExchange firm grids. |
| Story | Pen test findings - Add anti-forgery checks on ajax calls that save data |
| Bug | When Payer is missing on a fee, Fee Amend by Receiver fails with null error |
| Bug | Wrong text in receiver Confirm Amend Pop Up. |
| Bug | Add Payer Amend functionality into Fee Look Up Actions. |
| Bug | Large notional amounts are not accepted on fee posts |
| Bug | Information text is not completely visible in column 7 of excel from payer side |
| Bug | Admin Fee Actions are not functioning. |
| Bug | Comment Box should not be expandable beyond actions panel. |
| Bug | Payer Amend is not functioning from Summary . |
| Bug | Upload Download buttons are not sized accordingly when page zoomed. |
| Bug | Update of translation rule usage failing |
| Bug | Settlement cycle in Summary should be ordered by Month. |
| Bug | Invalid column header and data in LDEB Duplicate transaction rule report |
Mar 18, 2019 1.0.130
- Payer Amend of Payer Participant Code
| Type | Summary |
| Story | Payer Amend via Excel |
| Story | Add Text in Receiver/payer amend confirmation pop up. |
| Story | Modify service test logging location |
| Story | Payer, Receiver, or Source Participant validation for Admin Fee Actions |
| Story | Validate aggregations on greater frequency |
| Story | Only supported currencies in Rate Currency of Summary Rate Amend |
| Bug | Change text in Payer Excel template |
| Bug | Add "Incorrect Tax Rate" and "Tax Rate Under Review" into Payer Excel Reason Codes |
| Bug | Add resiliency to the aggregate validation |
| Bug | "No Data Found" in Rate CCY for EB Amend Action |
| Bug | Not able to Amend Executing Part from Summary screen |
| Bug | 4 bugs in Summary Amend. |
| Bug | Able to modify payer by a participant who is not on the fee |
| Bug | Unable to change payer participant by payer amend when Payer and Rcvr are same |
| Bug | Receiver Participant is able to Amend fees after Affirmation via Api |
| Bug | Payer Participant should not be allowed to revert fee adjustments done by Receiver |
| Bug | Payer Participant is able to adjust Fees via Api |
| Bug | Wrong Hold Reason populated when Fee is payer held from Fee Lookup |
| Bug | Tax rate Amend bar should show up to 3 decimals |
| Bug | Invalid agreement amend in summary should create error message |
| Bug | Modify Atlantis to Docs connectivity for updated TLS changes |
| Bug | Error message is truncated |
| Bug | CSV file stuck processing |
| Bug | Save button keeps spinning |
| Bug | Atlantis logs are going to build directories rather than test results directory |
| Bug | Adjust column widths in Fee Lookup |
Mar 04, 2019 1.0.129
- Payer Amend of Payer Participant Code
| Type | Summary |
| Story | Payer Amend of Payer Participant in Summary |
| Story | Disable use of weekly DEUT and NEWE hardcoded rules |
| Story | Amendment of Payer Participant by source must be represented in EOD |
| Story | Payer Amend of Payer Participant Code via API |
| Story | Payer Amend of Payer Participant Code in Excel Download |
| Story | Tax Country Code enumeration in Excel Upload template |
| Story | Tax Payer Hold and Reject Reasons |
| Story | Flexible CSV Processing - Enforce all header items to be attribute specific xPaths |
| Story | Flexible CSV Processing - Duplicate Header Items |
| Bug | Modify administrative extracts for translation rules |
| Bug | Tax Rate filter should allow percent input rather than decimal |
| Bug | Include additional content for storage fees to assist firms |
| Bug | Change spelling in agreement amend warning pop up message |
| Bug | Rename button in Fee Lookup Actions from "Reset" to "Clear" as in Summary |
| Bug | Tax Rate and country code should be same as posted after trade reset (s129) |
| Bug | Translation rule admin counts are matching too large of a data set |
| Bug | Update or edit drops Fee Materiality on the rule |
| Bug | Non-durable queues and connections timing out in PSIM |
| Bug | Tax configuration disabled in PSIM |
| Bug | Agreement is not getting updated in Atlantis |
| Bug | System should display a valid error message |
Feb 25, 2019 1.0.128
- US Listed Options Onboarding
| Type | Summary |
| Story | Add fee details to cash adjustment selection in Bulk Settlement |
| Story | Expand profit center on agreement to 30 chars |
| Story | Add CCY to Rate Amend on Fee Lookup |
| Story | Rate Amend from Fee Lookup |
| Story | "Aged & Current" Settlement Cycle filter |
| Story | Update current fields during fee synchronization |
| Story | Flexible CSV Processing |
| Bug | Add CCY to Rate Amend from Summary. |
| Bug | Tax Rate and country code should be same as posted after trade reset. |
| Bug | Fee Amount =0 when receiver Participant changed and Fee Calc = No. |
| Bug | Editing Translation rule, drops Market Code |
| Bug | Case mismatch of broker code fails |
| Bug | System errors out if broker codes are blank |
| Bug | Rule Id and Priority Filter adds a decimal value to filter criteria |
| Bug | Make the column wider in Account Translation screen |
| Bug | Remove Exchanges from Participant Code drop down list |
| Bug | Fee post file stuck processing |
| Bug | Flip Buy/Sell Indicator in OCC FIXML processor |
| Bug | Add Tax Rate and Tax Rate Cntry fields for Amend action on Fee Lookup screen |
| Bug | Raise cache refresh event (pub-sub setup) for exchange alias and alias type |
Feb 04, 2019 1.0.127
- Rate Amend from Summary UI
| Type | Summary |
| Story | Add validation around translation rule reference data fields |
| Story | Rate Amend from Summary Report |
| Story | Disable counterparty actions for participants not simulating actions in PSIM |
| Bug | Unable to utilize the aggregation chooser |
| Bug | Lengthen timeout for nightly extracts to minimize ghost failures |
| Bug | Remove Exchanges from Participant Code drop down list |
| Bug | System should error out when invalid participant code is used to create translation rule via UI |
| Bug | Active filter selection by 'No' is not showing the results |
| Bug | Allow for read-only users to generate the hash for aggregates |
| Bug | Accelerate Design System clean-up pt. 2 |
Jan 07, 2019 1.0.125
- Summary filters: Multi-select (where possible), Match two account values
- Standard Order Passing Broker Agreements (STDTO/STDCO) support
- BCLEAR (legacy IFLO) fee calculation
| Type | Summary |
| Story | Add support for Admin to retrieve counts from Translation Rules screen |
| Story | Allow use of BCLEAR rates for IFLO fees |
| Story | Bill To in Agreements grid |
| Story | Validate the precision on amounts on submitted fees |
| Story | Add configuration for tax support |
| Story | Add TaxRateCountry and TaxRate (Current) into aggregations |
| Story | Modify summary extract to handle new tax functionality |
| Story | Modify bulk settlement process to handle new tax functionality |
| Story | Modify ops functions to handle new tax functionality |
| Story | Undo Adjustment via Excel Upload removes Tax Adjustment |
| Story | Apply Tax via Receiver Excel Upload |
| Story | Apply Tax via Receiver Amend in Summary UI |
| Story | Add names/descriptions to Exchange suppressions for participants |
| Story | Reference Date in current month disallowed for Post Cash Adj and Bulk Settlements |
| Story | Add bulk settlement section to the fee lookup |
| Story | Apply rules for fee calc as a service flow |
| Story | Expand notification on action results |
| Story | Standard Order Passing Broker Agreements (STDTO/STDCO) support |
| Story | Raise agreement events for OPB parties |
| Story | Enable multi-select for strings in the Summary Grid |
| Story | Enable multi-select for enums in the Summary Grid |
| Story | Change test cases to validate on settlement aggregation hash |
| Bug | Log entry is missing for Translation Rule cache refresh |
| Bug | Convert to searchable drop downs in the translation rule UI |
| Bug | Change Tax Rate Format in Fee Look Up. |
| Bug | Change Tax Rate to % in Summary Grid and Excel. |
| Bug | Excel Adjusted Tax Rate shows only whole number. |
| Bug | Total Amount is not shown in Cash Adjustment when JPY is selected. |
| Bug | Add new fields and tax adjustment to FeeLookup |
| Bug | Redefine precision on existing Fee model's TaxRate and CurrentTaxRate columns |
| Bug | Unable to download fees with missing clearing account |
| Bug | Tax Rate Country Code is not populated in Fee Lookup screen |
| Bug | Fee Excel Upload missing header row causing the notification to not complete with error |
| Bug | Error message when saved Shared view is added to custom view |
| Bug | Fees not recalculating after executing account is added |
| Bug | Flip buy/sell indicator for eb side in OCC fixml processor |
| Bug | Grid is broken when Settlement Cycle selected. |
| Bug | Unable to filter translation rules by active flag |
Dec 10, 2018 1.0.123
- Apply Tax (multiple sprints)
| Type | Summary |
| Story | Increase performance of translation rules to force exact matches where appropriate |
| Story | Performance tuning of translation rule engine |
| Story | Cache translation rules for usage on posting of fees |
| Story | Add tax amount and tax rate country code into legacy files |
| Story | Apply Tax via FeePost API |
| Story | Modify XSD specification for tax support |
| Story | Apply Tax via Receiver FeeAmend API |
| Story | Tax field gaps in Settlements CSV |
| Story | Allow for purging of fees within simulation environment |
| Story | Bill for bulk settlement |
| Story | Show storage fees in the invoice and details section |
| Story | Increase high water mark for XCME queue |
| Story | Allow for empty trade files from exchanges on holidays |
| Story | Sort Execution Method dropdown descending in Receiver Amend UI |
| Story | OCC T0 - Handle processing for XCBO and XCBF from OCC |
| Story | Refresh AggCalcMetrics and AggCalcMetricsWithAdjusted enums |
| Story | Typeahead participant fields in Post Cash Adjustment |
| Story | Allow saving of shared view |
| Story | Summary view sharing |
| Bug | For ready to settle trades there is difference in total amount when compared with UI to trade and settlement csv for Tax |
| Bug | Error loading XML trade file (Tax) |
| Bug | Purge aged content in non PSIM/Prod environments |
| Bug | Correct bill rate for bulk settlement |
| Bug | Accelerate Design System clean-up |
| Bug | Rate and Agreement are still appearing in the summary screen after trade is reset |
| Bug | Docs/Atlantis unexecuted report not matching on clearing accounts with special characters |
| Bug | Fees in payer hold are not included in Aged extracts |
| Bug | Views are not presented in IE browser |
| Bug | Summary screen is showing the calculated rate and agreement instead of the adjusted rate and agreement |
| Bug | Summary screen is not showing agreement on partial matches |
| Bug | Summary screen is not reflecting adjustment types correctly |
| Bug | Associate / Disassociate action buttons remain hidden after submission |
| Bug | An error occurs if # trades is the only column added |
| Bug | Current Rate and Current Agreement ID in Legacy Prelim/Final CSV |
| Bug | Current Rate and Current Agreement ID in Legacy Daily CSV |
| Bug | Add Current Rate and Current Agreement fields to Fee Lookup screen |
| Bug | Agreement id is not present for adjusted fees in summary screen |
| Bug | XCBO removed from Source: Exchange in Exchange dropdown of Summary UI |
| Bug | Notification messages are missing |
| Bug | When filtering payer participant in summary, fees with blank participants are excluded |
| Bug | Checkbox column should not be expandable and movable |
| Bug | Hide Summary and Additional Notes fields from Post Cash Adj action |
| Bug | Translation rules allow for invalid reference data |
Nov 12, 2018 1.0.121
Highlights
- Bug fixes and enhancements
| Type | Summary |
| Story | Add hard-coded DEUT and NEWE translation rules for FCAAS |
| Story | Bulk Settlement Request in app footer |
| Story | Ignore agreement recalculation where the termination date is aged |
| Bug | File API support missing for FeeLookup |
| Bug | Agreement version is marked as zero after clean up job |
| Bug | Unable to action or download fees from summary screen when adjustment type column is added |
| Bug | Approve/Reject action text in Summary screen is inconsistent |
| Bug | Text overflow in external filter dropdowns |
| Bug | Industry Metrics template update for formatting |
| Bug | Notification message incorrect when amending a trade |
| Bug | Affirmed fee cannot be updated via FeePost |
Oct 29, 2018 1.0.120
Highlights
- Adjustment Type (None, Fee, Rate, or Agreement) in Aggregation Chooser
- Stability and reliability improvements
| Type | Summary |
| Story | Audit fields in Account Translation screen |
| Story | Tax field gaps in Trades CSV |
| Story | Adjustment Type in Summary UI |
| Story | OCC firm codes to 5 characters for GPS Expired |
| Story | Split DEUT legacy files |
| Story | Exclude participants from PSIM simulation |
| Story | Allow for enabling/disabling publications from UI for participant |
| Bug | Ensure timely refresh of cache |
| Bug | Empty custom values node is posted for GPS Expired trades |
| Bug | Expand dropdown to fit '1000' Fee Aggregates per page |
| Bug | Expand columns to fit Effective Date and Termination Date columns in Agreements grid |
| Bug | Agreement Last Modified column in Excel Download is incorrect |
| Bug | Filter should be highlighted when used |
| Bug | Agreement import failing and succeeds on retry |
| Bug | Build failure due IO exception |
| Bug | Modify GPS opt-out file for OCC market(s) |
| Bug | Activate download of all summary pages in Prod |
| Bug | Failed fee calc has no Fee Calc Failure Reason |
| Bug | Trade Date filter in Summary UI 1-2px smaller than others |
| Bug | Update configuration for OCC SFTP process |
| Bug | Agreement ID search with leading space fails |
Oct 15, 2018 1.0.119
Highlights
- Bulk Settlement and Maintenance Fees reporting and billing
- Participant Real-time Messaging over MQ
| Type | Summary |
| Story | Upgrade Kendo package to newest stable version |
| Story | Add weekly/daily index stats for performance tuning |
| Story | Storage Fee Report |
| Story | Resolve quantity in billing files to lowest metric |
| Story | Ad-hoc Trades CSV for Bulk Settlements |
| Story | Retain 4 months of history for GPS expired fees in PSIM |
| Story | Create process to clean out old/inactive versions of agreements |
| Bug | Recalculation events failing to be raised when large agreement changes |
| Bug | Exchange thats not setup in Atlantis causes opt-out file to be stuck in processing. |
| Bug | Multiple allocRpts having same TxnTm for the same ID causing unwanted updates |
| Story | Weekly Non-executed agreements Volume report (limited) |
| Story | Create report to assist in researching translation rules |
| Story | Cycle Close notification via API |
| Bug | Kendo upload control label is broken In Admin Upload /Download Data Files. |
| Bug | Kendo upload control label is broken after kendo upgrade |
| Bug | Amend button keeps spinning when confirm Amend message is closed |
| Bug | Unknown failures when running generic extract process |
| Bug | Expand timeout for extracts |
| Bug | File processing failing on I/O locks (v2) |
| Bug | File processing throws error in situations with no files available |
| Bug | Confirm Amend message is incorrect |
Oct 01, 2018 1.0.118
Highlights
- OCC Onboarding
- Performance improvements for Composition Agreements
- Participant Real-time Messaging over MQ
| Type | Summary |
| Story | Performance tuning of agreement change processor |
| Bug | Changes to agreement taking too long to raise fee calc events |
| Story | XCBF, XOCH, XPBT under Source: Exchange in the Exchange dropdown |
| Story | Create SFTP process to retrieve OCC FIXML messages |
| Story | FeeLookup via API |
| Story | Remove Trebuchet Font |
| Story | Accts Matched to NCA view removed for all users |
| Bug | Amend is not working from Summary screen |
| Bug | Source Reference is not added to cash adjustment from Summary screen |
| Bug | OCC processing unable to successfully process file |
| Bug | Bulk settlement does not allow for a zero-fee cash adjustment |
| Bug | Invalid permissions error for all Payer fee actions in Fee Lookup |
| Bug | Turn off simulation actions for CRED in PSIM |
| Bug | Fee Actions not presented for Payers in Fee Lookup |
| Bug | Generic extracts do not have link in notifications for download |
| Bug | Fee actions from Fee Lookup is not available in Test |
| Bug | Filewatcher fails when file is locked by other process |
| Bug | Docs agreements are not updating sometimes |
| Bug | FeePost file processing fails when Exchange Alias is provided but not defined |
| Bug | Current Rate and Current Agreement ID in aggregations |
Aug 20, 2018 1.0.117
Highlights
- Download all pages of Summary UI grid
- Participant Metrics refresh for Composition Agreements and Payer Hold
- Bulk Settle with Cash Adjustment for FIA Tech Admins
- OCC Onboarding
| Type | Key | Summary |
| Story | ATLANTIS-2387 | Hide fee event logs from non-admins on FeeLookup |
| Story | ATLANTIS-2403 | Add archive and purge around new jobs |
| Story | ATLANTIS-2257 | Remove non-conforming agreement content from projects |
| Story | ATLANTIS-2238 | Pass Userhub url as parameter to PtpLoader |
| Story | ATLANTIS-2366 | Split banking lines based on transaction limit |
| Story | ATLANTIS-2445 | Replace External Assemblies with Nuget packages |
| Story | ATLANTIS-2481 | Limit cash adj selection to Bulk Settlement submissions only |
| Story | ATLANTIS-2423 | Bulk Settle action in Admin Tools |
| Story | ATLANTIS-2422 | Bulk Settlement UI in Admin Tools |
| Story | ATLANTIS-2471 | Pending Acct Addition column in Participant Metrics |
| Story | ATLANTIS-2342 | Add USD calculation to industry metrics |
| Story | ATLANTIS-2295 | Participant industry metrics template refresh |
| Story | ATLANTIS-2385 | Cleanup Exchange File Processor |
| Story | ATLANTIS-2381 | Modify error handling for OCC processing |
| Story | ATLANTIS-2100 | Filter incoming OCC trades for only opt-in firm codes |
| Story | ATLANTIS-2414 | User Guide & Documentation footer link update |
| Story | ATLANTIS-2413 | Contact Us email address update |
| Story | ATLANTIS-2477 | Add fee calc failure reason to existing top 10 clearing account report |
| Story | ATLANTIS-2465 | Add new extract for top ten clearing accounts for all outstanding |
| Story | ATLANTIS-2406 | Cannot Settle Reason in Top 10 Clearing Account report |
| Story | ATLANTIS-2077 | Download all pages of Summary grid (based on web.config flag) |
| Story | ATLANTIS-2383 | Performance tune summary screen |
| Story | ATLANTIS-2246 | Affirm/Hold/Approve/Reject from Fee Lookup |
| Bug | ATLANTIS-2490 | Turn off simulation actions for BGCP in PSIM |
| Bug | ATLANTIS-2464 | File processing failing on I/O locks |
| Bug | ATLANTIS-2460 | Leading space on updated Give-up Reference causes failures |
| Bug | ATLANTIS-2454 | Grid export is blank when all Aggregation Chooser columns are added |
| Bug | ATLANTIS-2453 | Dropdown arrow is missing in filters |
| Bug | ATLANTIS-2439 | PSIM Simulation failing for payer rejects |
| Bug | ATLANTIS-2438 | File processing is slow to pickup and move new file to inbox (v2) |
| Bug | ATLANTIS-2420 | 'SOURCE' is displayed when off/on platform is selected in Counterparty filter |
| Bug | ATLANTIS-2419 | Counterparty filter is not responding when Off Platform selected |
| Bug | ATLANTIS-2417 | File processing is slow to pickup and move new file to inbox |
| Bug | ATLANTIS-2415 | Fee with agreement amended can be affirmed while Fee Amount Missing |
| Bug | ATLANTIS-2412 | Extended Legacy Prelim and Final files are missing fields |
| Bug | ATLANTIS-2404 | Hide exchanges from Counterparty filter in Summary UI |
| Bug | ATLANTIS-2400 | Fee Date, Trade Date, Option Expiration Date in date instead of datetime in Fee Lookup |
| Bug | ATLANTIS-2371 | Invalid files show a misleading notification of failure/success |
| Bug | ATLANTIS-2084 | LdebFeeAggregateId appears in first column |
Aug 20, 2018 1.0.115
Highlights
- Bug fixes
Aug 6, 2018 1.0.114
Highlights
- Counterparty filter in Summary UI
- Alternate Execution Methods in Rate Schedule Detail of Fee Lookup
Jul 23, 2018 1.0.113
Highlights
- Composition Agreements in Fee Calculation
- Clearing Party and Executing Party in Aggregation Chooser
- Opt-in, by emailing Atlantis Support, to receive an Extended Daily/Prelim/Final Trades CSV:
- Atlantis Reference
- Trading Venue
- Trader Reference
- Exchange Trade Reference
- Fee Calc Failure Reason
- Reviewer
- Receiver State
- Payer State
- Cannot Settle Reason
- Source Participant Code
- Source Reference
| Type | Key | Summary |
| Story | ATLANTIS-2238 | Pass Userhub url as parameter to PtpLoader |
| Story | ATLANTIS-2210 | New fields in Extended Legacy Trades CSV |
| Story | ATLANTIS-2271 | Prioritize Execution above Composition in Fee Calculation |
| Story | ATLANTIS-2266 | Composition Agmts with Effective Dates in Fee Calculation |
| Story | ATLANTIS-2090 | Agreement ID hyperlinks open in Docs if user is entitled |
| Story | ATLANTIS-2255 | Create application for verifying new Docs API integration |
| Story | ATLANTIS-2079 | Participant Billing changes for annual cap |
| Story | ATLANTIS-2219 | Add monitoring to buffer cells |
| Story | ATLANTIS-2174 | Publish outbound messages to downstream queues |
| Story | ATLANTIS-2374 | Activate Payer Hold and simulation in PSIM |
| Story | ATLANTIS-2301 | Hide app nav on User Agreement screen |
| Story | ATLANTIS-2286 | Add Transaction Type to Admin reports |
| Story | ATLANTIS-2259 | Exclude intra-firm (institutional) for admin extracts |
| Story | ATLANTIS-2069 | Clearing Party and Executing Party in Aggregation Chooser |
| Story | ATLANTIS-1917 | FeeRejected in Payer Review views |
| Bug | ATLANTIS-2326 | Calculation of intrafirm which changes BillTo fails in calculator |
| Bug | ATLANTIS-2321 | Add all participants to Source Participant in Fee Lookup screen |
| Bug | ATLANTIS-2318 | Remove Exchanges from Executing Part dropdown of Amend action |
| Bug | ATLANTIS-2317 | Receiver Amend action from Summary Report is not working until Executing Part is selected |
| Bug | ATLANTIS-2316 | Adjusted Rate in Excel Upload sporadically fails validation |
| Bug | ATLANTIS-2312 | Refresh participant cache when new participant is created in UI |
| Bug | ATLANTIS-2307 | User can only see own party in Executing Part of Summary Amend |
| Bug | ATLANTIS-2306 | Buffer monitoring should not validate against CreatedOn |
| Bug | ATLANTIS-2279 | Incorrect order of new Aged Trades CSV columns |
| Bug | ATLANTIS-2274 | Fix colors in Atlantis |
| Bug | ATLANTIS-2268 | Payer Hold Reason Code is blank in summary report screen |
| Bug | ATLANTIS-2264 | Filter Criteria in Fl Id filter results in error msg |
| Bug | ATLANTIS-2244 | Agreement event processor fails on large agreement changes/deltas |
Jun 25, 2018 1.0.111
Highlights
- Price EFRP trades at zero-fee when EFRP rate not found
- Aged Trades CSV changes for Payer Hold and CME content
- Payer Hold (not live in Production)
| Type | Key | Summary |
| Story | ATLANTIS-2213 | Adjust EFRP trade fees to zero when EFRP rate is not found |
| Story | ATLANTIS-2160 | Payer Hold Reason in Summary Report Aggregation Chooser |
| Story | ATLANTIS-2112 | Aged Trades CSV changes for new Payer Hold and CME content |
| Story | ATLANTIS-2165 | Update colors in Atlantis |
| Story | ATLANTIS-2184 | Add Source Reference to Fee Lookup screen |
| Bug | ATLANTIS-2235 | Rejection Reason should be Reject Reason in Fee Lookup |
| Bug | ATLANTIS-2225 | 'Clear' button for Notifications filter |
| Bug | ATLANTIS-2222 | Amend is ignored when amending ccy code or fee calc requested only |
| Bug | ATLANTIS-2215 | Trade Date and Opt Exp Date is incorrect in Fee Lookup |
| Bug | ATLANTIS-2209 | Unable to filter rules by active flag |
| Bug | ATLANTIS-2194 | Unable to view intraday CME trades in summary when posted for next day |
| Bug | ATLANTIS-2188 | Changing the payer participant via XML causes processing to stop |
Jun 11, 2018 1.0.110
Highlights
- Payer Hold (not live in Production)
| Type | Key | Summary |
| Story | ATLANTIS-2061 | Perform parallel IISRESET on all web servers in Post Installation script |
| Story | ATLANTIS-2143 | Provide list of opt-in firm codes to CME for T0 filter |
| Story | ATLANTIS-2170 | "Fee on Payer Hold" Cannot Settle Reason |
| Story | ATLANTIS-2156 | Payer and Receiver Excel Download changes for Payer Hold |
| Story | ATLANTIS-1640 | 'Awaiting client confirmation' Payer Reject Reason deprecated |
| Story | ATLANTIS-2214 | Updated internal extracts for metrics reporting |
| Bug | ATLANTIS-2243 | Amend shortcut is missing when actions panel is collapsed |
| Bug | ATLANTIS-2240 | System ignores amend when Fee Calc Requested is amended |
| Bug | ATLANTIS-2236 | Excel Comments and Hold reason columns resize |
| Bug | ATLANTIS-2229 | Rename Payer State "Payer Held" to "Held" |
| Bug | ATLANTIS-2216 | Payer Hold UI bugs |
| Bug | ATLANTIS-2195 | Misc changes for Payer Hold in Summary Report |
May 28, 2018 1.0.109
Highlights
- Receiver Amend from Summary UI
- Notifications Search
- Payer Hold (part 1, not live in Production)
| Type | Key | Summary |
| Story | ATLANTIS-2005 | Receiver Amend action from Summary Report |
| Story | ATLANTIS-2116 | Cash adjustment rejected if counterparty cannot be debited in currency |
| Story | ATLANTIS-2125 | Flag firm codes for CME T0, GPS Expired, and OCC onboarding |
| Story | ATLANTIS-1803 | Notification Search |
| Story | ATLANTIS-2220 | Enable / Disable Payer Hold based on config |
| Story | ATLANTIS-2159 | Payer Hold action from Payables Summary Report |
| Story | ATLANTIS-2011 | Messaging specification for Payer Hold |
| Story | ATLANTIS-1856 | Comment and Reason Codes for Payer Hold action |
| Story | ATLANTIS-2234 | Add user click-through agreement to Atlantis |
| Story | ATLANTIS-2190 | Remove validation check in Fee Calculator for Rate Adjusted fee |
| Bug | ATLANTIS-2223 | Receiver Amend action errors out for leading and trailing spaces in GUR and EA |
| Bug | ATLANTIS-2218 | File processing failing to log error details when encountered |
| Bug | ATLANTIS-2211 | Agreement cache not being refreshed when existing Docs party is deleted |
| Bug | ATLANTIS-2208 | Atlantis Reference as Text in Excel Download |
| Bug | ATLANTIS-2193 | FeePost fails when no settlement cycle exists |
| Bug | ATLANTIS-2192 | Fix MQ connection usage to be Producer only for Internal Xml Processor in ProcessingSink |
| Bug | ATLANTIS-2181 | Excel upload causes unexpected failure and retries when RejectionReasonCode is bad |
May 14, 2018 1.0.108
Highlights
- Bug fixes
| Type | Key | Summary |
| Story | ATLANTIS-2167 | Post turnover add retry count file |
| Story | ATLANTIS-2073 | Change EGUS references to Docs in GUI |
| Story | ATLANTIS-2103 | FeeCancel in Admin Fee Actions |
| Story | ATLANTIS-2111 | Cycle Lock Countdown in sub-nav |
| Story | ATLANTIS-2133 | Agreement change events for Agreement adjustments |
| Bug | ATLANTIS-2212 | Long Docs party names are not saving in Atlantis |
| Bug | ATLANTIS-2199 | "Settled Fee Amount" column in Atlantis incorrectly doubling actual total |
| Bug | ATLANTIS-2154 | Bad FIXML data stops processing |
| Bug | ATLANTIS-2117 | Exchanges in Summary filter should be in alphabetical order by name |
| Bug | ATLANTIS-2114 | Adjusted fields should not be applied when actioning with Undo Adjustment |
| Bug | ATLANTIS-2078 | Changed BillTo or IsDirectBill in an agreement does not trigger fee recalc |
April 30, 2018 1.0.108
Highlights
- Bug fixes
| Type | Key | Summary |
| Story | ATLANTIS-2167 | Post turnover add retry count file |
| Story | ATLANTIS-2073 | Change EGUS references to Docs in GUI |
| Story | ATLANTIS-2103 | FeeCancel in Admin Fee Actions |
| Story | ATLANTIS-2111 | Cycle Lock Countdown in sub-nav |
| Story | ATLANTIS-2133 | Agreement change events for Agreement adjustments |
| Bug | ATLANTIS-2212 | Long Docs party names are not saving in Atlantis |
| Bug | ATLANTIS-2199 | "Settled Fee Amount" column in Atlantis incorrectly doubling actual total |
| Bug | ATLANTIS-2154 | Bad FIXML data stops processing |
| Bug | ATLANTIS-2117 | Exchanges in Summary filter should be in alphabetical order by name |
| Bug | ATLANTIS-2114 | Adjusted fields should not be applied when actioning with Undo Adjustment |
| Bug | ATLANTIS-2078 | Changed BillTo or IsDirectBill in an agreement does not trigger fee recalc |
April 16, 2018 1.0.106
Highlights
- CME Onboarding - T0 Trade Feed enhancements
- CME Onboarding - Opt-in Firm Codes Filter
| Type | Key | Summary |
| Story | ATLANTIS-2142 | Exchanges not part of standard flow are excluded from processing |
| Story | ATLANTIS-2132 | sentOn changes in CME FIXML to FeePost |
| Story | ATLANTIS-2131 | Performance tuning of CME FIXML message merge |
| Story | ATLANTIS-2129 | Exchange Spread Type support for CME FIXML to FeePost |
| Story | ATLANTIS-2094 | Strip NEWE clearing account prefix for WELL payables |
| Story | ATLANTIS-1965 | VC jobs for Client Services operational requests |
| Story | ATLANTIS-2138 | Add additional checks to prevent sql injection on Summary screen dynamic query |
| Bug | ATLANTIS-2166 | Exchange Spread Type Code is not populated on valid MLegRptTyp or TrdSubTyp |
| Bug | ATLANTIS-2162 | Unable to add Aggregation Chooser columns in Payables mode |
| Bug | ATLANTIS-2155 | FIXML from EB side with CB data is displayed in UI after FeePost |
| Bug | ATLANTIS-2153 | ClearPort product groups are not matching ClearPort trades |
| Bug | ATLANTIS-2146 | CME load testing changes |
| Bug | ATLANTIS-2141 | FeeCancel from CME is not working as expected |
April 2, 2018 1.0.105
Highlights
- CME Onboarding - T0 Trade Feed
- Extended Legacy Trades CSV for new CME content
| Type | Key | Summary |
| Story | ATLANTIS-2105 | New adjustment fields in Fee Lookup |
| Story | ATLANTIS-2018 | Remove Draft Agreement validation process |
| Story | ATLANTIS-2064 | OCC FIXML to FeePost message |
| Story | ATLANTIS-2065 | CME FIXML to FeePost message |
| Story | ATLANTIS-2066 | CME FIXML to FeePost (Modify) message |
| Story | ATLANTIS-2067 | CME FIXML to FeeCancel message |
| Story | ATLANTIS-2071 | Extended Legacy Trades CSV for new CME content |
| Story | ATLANTIS-2075 | Handle messages unable to post through exchange queues |
| Story | ATLANTIS-2076 | Enhance MQ monitoring for new queues |
| Story | ATLANTIS-2099 | Filter incoming CME trades for only opt-in firm codes |
| Story | ATLANTIS-2102 | CME exchanges under Source: Exchange in Summary Report filter |
| Story | ATLANTIS-2115 | Standardize Trading Venue for CME give-ups |
| Story | ATLANTIS-2118 | Increase monitoring around CME/OCC exchange processing in PSIM |
| Story | ATLANTIS-2119 | CME queue drainer changes |
| Story | ATLANTIS-2130 | Exclude CME/OCC markets from PSIM fee actions simulation |
| Story | ATLANTIS-2121 | Aged Trades CSV weekly rather than daily |
| Story | ATLANTIS-2039 | Combine exchange file processing to minimize overlap |
| Story | ATLANTIS-2085 | Remove unused code |
| Story | ATLANTIS-2113 | Increase throughput for file processing |
March 26, 2018 1.0.104
Highlights
- Special characters removed from Give-up Reference
- Rate and Agreement Adjustments, API support/back-end only
| Type | Key | Summary |
| Story | ATLANTIS-2037 | Calculate fee with Trading Venue for CME exchanges |
| Story | ATLANTIS-2106 | Separate the MQ queues for CME connections which are sharing internal and external connections |
| Story | ATLANTIS-2055 | Remove special characters from Give-up Reference |
| Story | ATLANTIS-2052 | Reset/Unapprove/Unaffirm for FIA Tech Admin |
| Story | ATLANTIS-2004 | Rate adjustment with Receiver Amend action, API only |
| Story | ATLANTIS-2048 | Undo adjustment with Receiver Amend action, API only |
| Story | ATLANTIS-2054 | Modify Payer participant for Rate adjustments based on agreement BillTo |
| Story | ATLANTIS-2056 | Modify handling of internal reports |
| Bug | ATLANTIS-2060 | New products and product groups in Docs are not reflected in Atlantis calculations |
| Bug | ATLANTIS-2072 | Amended executing accounts retain special characters |
| Bug | ATLANTIS-2104 | Fee Lookup is missing Trading Venue and Trader Reference |
March 5, 2018 1.0.103
Highlights
- Removal of 10 row action limit (now 50,000 trade limit)
- CME Onboarding - Trading Venue (ClearPort) support
| Type | Key | Summary |
| Story | ATLANTIS-420 | Particpant Setup script changes to setup ResponseQueueSuffix for a participant |
| Story | ATLANTIS-2034 | Set UseGlobalApplicationHostFile to true in csproj files of all web projects |
| Story | ATLANTIS-2046 | DB Performance Tuning |
| Story | ATLANTIS-1782 | Set 3rd Party Payer even if fee calc fails |
| Story | ATLANTIS-2038 | Add Trading Venue to Fee |
| Story | ATLANTIS-2044 | Add Trading Venue to aggregates |
| Story | ATLANTIS-2045 | Add Exchange Trade Reference to Fee |
| Story | ATLANTIS-2089 | Legacy trade file should carry the existing GPS moniker for exchange |
| Story | ATLANTIS-2001 | Modify agreement importer to leverage new Docs API call |
| Story | ATLANTIS-2017 | Modify agreement importer to minimize detail calls where not needed |
| Story | ATLANTIS-2030 | Increase retry logic around Docs API calls |
| Story | ATLANTIS-1746 | App footer rework for Client Services documentation |
| Story | ATLANTIS-2022 | Remove 10 row action limit |
| Story | ATLANTIS-2077 | Download all pages of Summary grid (based on web.config flag) |
| Bug | ATLANTIS-1921 | Failed recalc doesn't send cancel to prior direct bill payer |
| Bug | ATLANTIS-1419 | Agreement cache not being refreshed on party change |
| Bug | ATLANTIS-2062 | More Atlantis footer changes |
| Bug | ATLANTIS-2087 | Aged fees linked on nightly cycle are not updating their aggregations |
| Bug | ATLANTIS-2095 | Long Docs party names are not saving in Atlantis |
| Bug | ATLANTIS-2096 | Agreement events aren't calcing fees older than 1 year old |
February 26, 2018 1.0.102
Highlights
- Bug fixes and enhancements
| Type | Key | Summary |
| Story | ATLANTIS-2025 | Modify cleanup of aggregates |
| Story | ATLANTIS-2027 | Incorporate additional archive of local files |
| Story | ATLANTIS-2028 | Modify notifications from batch job to better denote environment |
| Story | ATLANTIS-2047 | Performance tuning of the close process |
| Story | ATLANTIS-2000 | Load GPS non-conforming agreements for analysis |
| Story | ATLANTIS-2015 | Add additional retry logic for triggering fee calcs |
| Story | ATLANTIS-2024 | Remove insignificant notifications on agreement loads |
| Story | ATLANTIS-2070 | Simulate user actions in PSIM |
| Story | ATLANTIS-2059 | Extracts UI for FIA Tech Admin |
| Story | ATLANTIS-2023 | Performance tuning of XSD validation |
| Bug | ATLANTIS-1609 | Inbox sweep fails when checking FileInUse |
| Bug | ATLANTIS-1983 | Fee sync error for fee that is deleted as part of PsimLdebFeeCleanup vc job |
| Bug | ATLANTIS-2041 | Metrics job failure in Test |
| Bug | ATLANTIS-2058 | Filter does not work when Trade Month is typed manually |
| Bug | ATLANTIS-2074 | External fee calc on unknown currency causes processor to fail |
| Bug | ATLANTIS-2082 | Agreement import failing when profit center is longer than 15 chars |
| Bug | ATLANTIS-2086 | Resolve double settlements happening as a result of the close |
January 29, 2018 1.0.101
Highlights
- Legacy Trade Sequence Number in Aged Trades CSV, starting EOD Jan 29th
- Aggregate by Trade Month
| Type | Key | Summary |
| Story | ATLANTIS-1755 | Legacy Trade Sequence Number in Aged Trades CSV |
| Story | ATLANTIS-2036 | Remove of timeout from the draft agreement validation |
| Story | ATLANTIS-2053 | Skip fee calculations for participants not on the platform |
| Story | ATLANTIS-1936 | Modify the comparison for NoAction vs. Failure to include the FeeCalcFailureReasonCode |
| Story | ATLANTIS-1954 | Aggregate by Trade Year/Month |
| Bug | ATLANTIS-1968 | Fee not recalculating after clearing account addition |
| Bug | ATLANTIS-1996 | Agreement changed events going beyond run time |
| Bug | ATLANTIS-2035 | External fee calculation fails when posted without executing participant code or clearing participant code |
| Bug | ATLANTIS-2051 | Actions and download fail when TradeMonth exists in Aggregation Chooser |
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