• CME Clearing 21 Training at NYMEX on December 3 and 4, 2008

      • To
      • Clearing Member Firms; Back Office Managers
      • From
      • CME Clearing Financial Unit and Client Management Training Services
      • #
      • 08-335
      • Notice Date
      • 10 November 2008
      • Effective Date
      • 10 November 2008
    • In preparation for the upcoming December 8, 2008 back-end integration of the NYMEX and CME collateral management and financial settlement and banking processes, on Wednesday, December 3, and Thursday, December 4, Client Management Training Services (CMTS) and the Clearing House Financial Unit will offer training classes for the following applications:
      ·         CME Connect
      ·         CME C21 Asset Management and Banking
      ·         CME C21 Settlements
      ·         Document Direct
       
      CME Clearing 21 will replace the existing NYMEX Clearing 21 applications.  The class will provide firm participants with details on the following:
       
      ·         Acceptable Collateral, Timelines for Collateral Deposits and Withdrawals
      ·         CME Connect - How to access the Portal
      ·         Asset Banking - Entering, searching and updating collateral information
      ·         Settlements – ITD and RTH processing
      ·         Accessing reports via Document Direct


      For the full text of this advisory...