On 17 nov, 13:56, M Rizwan <
raaif.riz...@gmail.com> wrote:
> This field is a deal levl attribute of MM, FX and IRS deals. This is used to
> specify to the system how the dealing room activity is organised
> in Treasury. It is used as a key to the various POSITION files in the
> system. This enables the bank to view their position by dealer desk, if
> required and to book the revaluation Profit/Loss at dealer desk level. If
> you know accounts it is somewhat similar to "Cost Centers" or "Profit
> Centers".
>
> Reg.
>