NSCCL downloads various reports in csv format to clearing members in relation to trades, obligations, deliveries, auctions, corporate actions, settlements and shortages. They are downloaded in the member’s Reports folder on the Extranet and are as follows:
Member specific reports
Demat Final Delivery Statement (DFDS)- This report provides the details of the securities actually delivered by the member along with the depository details.
Demat Final Receipt Statement (DFRS): This report gives the details of payout received and the details of receiving depository.
Direct Client Pay Out Report (CADT): This report provides the details of client wise payout received as per instructions uploaded by the member
Memberwise Withheld Securities Statement (DWTH)- This statement gives details of payout withheld.
No delivery trades report: This report gives a listing of all the securities in no delivery for a particular settlement type and settlement number.
Deliveries report: This report gives a list of all securities to be delivered on the T+2 day
Security shortages report: This report gives the quantity short delivered or received and the valuation amount.
Daily obligation report: This report provides the daily cumulative net buy and sell position for a trading day
Final Obligation report; This report provides the net obligation for securities and funds to be delivered or received and is downloaded on the T+1 day
Net daily obligation report: This report provides the daily cumulative net buy and sell position for a trading day
Net Final obligation report: This report provides the net obligation for securities and funds to be delivered or received and is downloaded on the T+1 day
Daily Funds statement: This report gives the detailed break-up of debits/credits effected to the clearing bank account as appearing in the daily funds summary statement.
Bank Summary report: This report provides details about the transactions effected in the members’ clearing account at the Clearing Bank.
Auction square off debit/credit report: This report gives details of un-auctioned deliveries that are squared-up by the Exchange.
Auction difference report: This report gives details of the auctioned deliveries for which the valuation price exceeds the auction traded price.
Securities master: This report gives details of the security symbol, ISIN, security code, series etc.
Corporate action report: This report gives a symbol wise and series wise list of all corporate actions alongwith the respective record dates /book closure dates, no delivery period, ex date etc.
Settlement calendar : this report gives the monthly settlement schedule
Custodian trades report: This report gives the cp code wise trade details for a member
Order confirmation report: This report is downloaded to custodians for confirmation of orders and OTR
Trades report: This report gives the trade details such as symbol, cpcode, client code, quantity, value for all trades executed by a member.