Recently Modified [ ^ ] (1 - 10 / 15) |
0005447
|
[ProFinance securitization CR] Date of Cure and logic for Date of default - Applicable to both UK and France
[All Projects] Bug - 2022-06-24 05:41
|
0005445
|
[ProFinance securitization CR] UK Securitization - CD_DateOfDefault is missing
[All Projects] Bug - 2022-06-21 05:33
|
0005446
|
[ProFinance securitization CR] SPV Cash flow report
[All Projects] Bug - 2022-06-20 06:28
|
0005440
|
[ProFinance securitization CR] Data consolidation Level/ Incorrect Fin_Exposure aggregation/90+ Delinquencysum check
[All Projects] General - 2022-06-16 05:58
|
0005443
|
[ProFinance securitization CR] UK Profinance Default Customer Flase flags
[All Projects] Bug - 2022-06-16 05:52
|
0005444
|
[ProFinance securitization CR] UK - France Securitization
[All Projects] General - 2022-06-16 05:51
|
0005434
|
[ProFinance securitization CR] Incorrect update for customers included in "main customer"
[All Projects] Bug - 2022-06-09 07:57
|
0005439
|
[ProFinance securitization CR] Calculated buy-back amount not same as when checking calculation in excel (PV)
[All Projects] Bug - 2022-06-09 07:44
|
0005436
|
[ProFinance securitization CR] WO Rsn logic needs to be reset (France/UK- France_default/UK default table)
[All Projects] Bug - 2022-06-09 07:44
|
0005442
|
[ProFinance securitization CR] Contract 50062706 in UK tracking table after crediting extension period
[All Projects] Query resolution - 2022-06-09 05:22
|