GTR MAS Rewrite Service Help was updated on 11-Oct-2024.
The Clearing Fund Management system is used to manage your DTC Participants Fund and GSD, MBSD, and NSCC Clearing Funds deposit accounts in real-time. Through the Clearing Fund Management system, you can access your Participants or Clearing Fund requirements, collateral deposits, deficits or excesses, and submit deposit and withdrawal transactions. Using the Asset Substitution Calculator, you can calculate the effect that depositing or withdrawing different eligible collateral has on your required deposit.
The benefits of the Clearing Fund Management system include:
Log in to view the Clearing Fund Management - DTC online help and demo.
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Log in to view the Clearing Fund Management - FICC online help and demo.
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View the help to learn how to use the Clearing Fund Management - NSCC system to manage the NSCC clearing fund in real-time. View the instructions for how to access your Account Overview, manage Asset Substitutions, and view the Clearing Fund Management reports.
Watch the demo to learn about the modernization plans, user interface, features, and enhancements for the application.
Log in to view the Clearing Fund Management - NSCC online help and demo.
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See Also: NSCC Risk Management.