Debt Management

Debt Guarantee Payment

Objective

This entity stores the different transactions associated with guarateed debt. Transactions will exist only in case original borrower defaults.

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Debt Guarantee Payment screen include the following fields:

FieldsDescription
CodeUnique identification code. Parameter determines if to be entered by users or  to be system generated.
Workflow StatusPossible values for this field are: Approval Requested, Approved, Cancelled, Created and Rejected. Status to be selected from dropdown box.
Workflow Process StatusPossible values for this field are: Approval Requested, Approved, Cancelled, Created and Rejected.
Fiscal YearDefault Value for this field is "Current Fiscal Year for Budget Execution".
Fiscal PeriodDefault Value fro this field is "Current Fiscal Period for Budget Execution".
InstrumentThis field refers to instrument entity with general information. System will display an error if users enter an instrument not marked as 'Guaranteed'. The referenced instrument should be in Approved workflow status.
Payment ToThis field refers to whom the payment is made.  This is Read-only field, comes from the described reference.
Instrument TypeThis entity stores the distinct type of instruments for a better clasification to be selected from dropdown box.
Instrument Type CurrencyCurrency related with the current instrument type to be selected from dropdown box.
CurrencyCurrency related with the current instrument to be selected from dropdown box..
Exchange Rate

The conversion rate between local and foreing currency used for this specific repayment. If it is a foreign currency get the Active exchange rate from the exchange rate table. If its a dometic currency, the value = 1. It is Read only field.

Amount (Domestic)Total amount of the instrument in local currency.
Amount (Foreign)

Amount of transaction in Foreign Currency.  

Guarantee Payment TypeThis field refers to Guarantee Payment Type to be selected from dropdown box.
Transaction DateDate of payment gets recorded in this field. Default is the system date date.
Created ByUsers that create the transaction. This field is Read only. It is automatically filled by the system.
Created DateRead only field which is the system date.
Approved ByUsers that approves the transaction. This field is Read only which is automatically filled y the system.
Approved DateRead only field which is the system date at the time of approval transition.
LanguageLanguage used to describe Debt Guarantee Payment.
Reason For GuaranteeReason for Guarantee is mentioned in this field..
Reason For DefaultReason for default is mentioned in this field.

 

Debt Instrument

Objective

This entity stores the general header information related the instruments used to control the domestic and external debt.

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Debt Instrument screen include the following fields:

FieldsDescription
CodeUnique identification code of Debt Instrument. Parameter determine if to be entered by users or to be system generated.
Workflow Status

The possible values for the workflow status are: Created, Request For Approval, Approved, In Execution (Guarantee), Paid Off, Write-Off and Rejected. Default value is Created. Field to be selected from dropdown box.

Workflow Process StatusThe possible values for the workflow status are: Created, Request For Approval, Approved, In Execution (Guarantee), Paid Off, Write-Off and Rejected.
Instrument TypeRefers to the instrument type entity in order to classify the entered Instruments to be selected from dropdown box.
Instrument SeriesInstrument Series to be mentioned in this field.
Issue Type

Issue type of instrument. Possible Values: Auction and Placement. Default value is Auction.

Debt TypeUsed for reporting purposes, read only and visible by users. Automatically filled according selected type of instrument. This field is READ ONLY.
Creditor AgencyThe person on agency acting as the creditor. Lendor/Donor.
Domestic Face ValueThe total value of the treasury bill.
Foreign Face ValueThe total value of the treasury bill in the foreign currency.
Auction DateDate of Auction.
Settlement Date

Settlement date of treasury bill. Default is Current date.

Maturity DateDate of the maturity of the instrument, meaning "Date of expiry".
Interest RateInterest rate or Coupon Rate of the current instrument.
Instrument Type CurrencyInstrument Type Currency is mentioned. For example, it may be Foreign currency or local currency.
CurrencyDisplay to users as a read-only field.
Exchange RateThis field will show the latest active exchange rate for the selected currency which is linked to the Appropriations, users can change the rate if allowed in the Appropriations  parameters, otherwise this field will be ‘Display only’ and updated only by the system when the currency is selected. Default is 1 (because default currency is Domestic).
Domestic AmountTotal amount of the instrument in local currency.
Foreign AmountTotal amount in foreign currency.
Business DateDate in which data is applicable.
Domestic Total Amount TenderedThe total amount regarding the debt instrument.
Foreign Total Amount TenderedForeign Total Amount Tendered.
Total Domestic Amount PayableThe estimate final total amount payable.
Total Foreign Amount Payable

Foreign Total Amount Payable.

Domestic Accured InterestThe total amount of money regarding accrued interest.
Foreign Accured InterestIf the general parameter "System Accepts Multi-Currency transactions" is False then this field is hidden.
LanguageLanguage used to describe Debt Instrument.
NameName of the Debt Instrument.

 

Reports

Gross Instrumental Debt By Instruments Report

Overview

This report produce the Face Value, Book Value and Dollar Value for Treasury Bills, Treasury Bonds, Development Bonds, Rupee Loan and Sovereign Bonds outstanding in the Debt Register on the specified date.

 

Navigation

Debt Management ► Reports ► Gross Instrumental Debt By Instruments Report

 

Gross Instrumental Debt By Instruments Report screen Fields

Field

Description

Debt Instrument Type

Debt Instrument type is selected from drop down box.

 

Instrumental Debt Summary Report

Overview

This report produces the details for Treasury Bills, Treasury Bonds, Development Bonds, Loan and Sovereign Bonds outstanding in the Debt Register on the specified date. This includes the Opening Balance for the year, Borrowings, Principal Repayments, Interest Repayments, Capital Repayments and Outstanding Balance on the specified date. 

 

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Debt Management ► Reports ► Instrumental Debt Summary Report

 

Instrumental Debt Summary Report screen Fields

Field

Description

Fiscal Year

Fiscal Year selected from drop down box.

 

Report On Guarantees Report

Overview

This report generates the details for Guarantees given by Government on loans taken by Government owned entities. The details include the name of the institution on whose debt the Guarantee is given, the purpose, the guaranteed amount, Date of Issue, Date of Expiry and the Capital Outstanding.

 

Navigation

Debt Management ► Reports ► Report On Guarentees Report.

 

Report On Guarentees Report Fields

 

Field

Description

Institution Name

Institution for whom Gaurantee have been given to be selected from lookup button.

 

Sri Lanka Development Bonds Auction Report

Overview

This report produces the details for auction of Sri Lanka Development Bonds for the specified period. The details include the Issue Date, Maturity Date, Series, Interest Rate, Amount in Domestic Currency and Amount in US Dollars.

 

Navigation

Debt Management ► Reports ► Sri Lanka Development Bonds Auction Report

 

Sri Lanka Development Bonds Auction Report screen Fields

No filter criteria used.

Treasury Bond Auctions Report

Overview

This report produces the details for auction of Treasury Bonds for the specified period. The details include the Series ID, Settlement Date, Maturity Date, Tendered Amount, and Weighted Average Yield after Tax.

 

Navigation

Debt Management ► Reports ► Treasury Bond Auctions Report

 

Treasury Bond Auctions Report screen Fields

No filter criteria is used in this report.

Weekly Treasury Bill Auction Report

Overview

This report produce the details for weekly auction of Treasury Bills for the specified period. The details include the Issue Date, Amount Accepted and Weighted Average Yield Rates. The Weighted Average Yield Rates is filled by users.
 

Navigation

Debt Management ► Reports ► Weekly Treasury Bill Auction Report

 

Weekly Treasury Bill Auction Report screen Fields

 

Field

Description

Report Date

Current Date is mentioned in this field.

Report Time

Current Time is mentioned in this field.

User Code

Users by whom the report is generated is mentioned in this field.

Period

The current period is mentioned in this field.

Fiscal Year

The current Fiscal Year is selected in this field.

Issue Date

The issue date of the bond is selected in this field for filtering records.

Amount Accepted: 91 days

Amount accepted if the number of days is 91.

Amount Accepted: 182 Days

Amount accepted if the number of days is 182.

Amount Accepted: 364 Days

Amount accepted if the number of days is 364.

Weighted Average Yield Rates(%): 91 Days

This data is fetched externally and to be left blank by users, if the number of days is 91.

Weighted Average Yield Rates(%): 182 Days

This data is fetched externally and to be left blank by users, if the number of days is 182.

Weighted Average Yield Rates(%): 364 Days

This data is fetched externally and to be left blank by users, if the number of days is 364.

Total - 91 Days

Total of all amount in 91 days.

Total - 182 Days

Total of all amount in 182 days.

Total - 364 Days

Total of all amount in 364 days.

Page Number

The current page number.

Total Page Number

The total number of pages in the report.

 

 

Support Entities

Debt Agency Type

Overview

Debt Agency Type contains agency types details. It stores agency grouping details used for reporting purposes.

Navigation

Debt Agency Types screen include the following fields:

Field nameDescription
CodeIt refers to Agency type code which is generated by the system.
Is Default Debt Agency TypeIndicates if the case type is the default type when creating a new Case entry.
ActiveIndicates if the Case Type is “active” for registry of cases. True refers to Active, False being Inactive.
Parent Debt Agency TypeParenty agency type (for grouping if necessary).
LanguageLanguage used to describe Debt Agency Type.
NameAbbreviation of the agency type name.
DescriptionFull description of the agency type, including a summary describing the general information about the created type of agency.

 

Debt Instrument Type

Overview

This entity contains the distinct type of instruments for a better classification.

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Debt Instrument Type screen include the following fields:

Field NameDescription
CodeUnique identification code. Parameter to determine if to be entered by users or will it be system generated.
ActiveIndicates if the instrument type is “active” for registry of cases. True refers to Active, False refers to Inactive. Default Value is True.
Debt TypeValues are: External (default) and Domestic. This classifies the main debt type.
Is Default Instrument TypeIndicates if the case type is the default type when creating a new instrument type entry.
Instrument Type CurrencyPossible values are: Local currency (Default) and Foreign currency.
LanguageLanguage used to make description.
NameAbbreviation of the instrument type name.
DescriptionFull description of the instrument type.