SECTION 5: Deal Capture & Lifecycle Management (138ā183)
138. Deal Entry Architecture
139. Deal vs Transaction Concepts in v25
140. Deal Templates & Defaulting Rules
141. Physical vs Financial Deal Capture
142. Trade Validation Rules
143. Deal Enrichment Engine
144. Deal Entry Screens (OC UI)
145. Scheduling & Nomination Concepts
146. Deal Amendments & Cancellations
147. Trade Workflow Configuration
148. Deal Confirmation & Matching
149. Corporate Actions Integration
150. Fees and Charges Handling
151. Events and Ledgers
152. Workflow Approvals & Roles
153. Deal Enrichment APIs
154. Nominations Manager Overview
155. Delivery Scheduling
156. Transportation and Storage Scheduling
157. Power Generation Scheduling
158. Trade Data Archival
159. Deal Workflow Automation (JVS Scripts)
160. Trade Lifecycle Events
161. Netting & Compression
162. Exception Handling
163. Deal Security & Audit Trail
164. Deal Performance Optimization
165. Batch Deal Imports
166. OpenComponent Deal Integration
167. Multi-leg & Structured Deals
168. Complex Instruments (Swing, Spark, Spread)
169. Workshop: Capture Power Trade
170. Workshop: Capture Gas Forward Deal
171. Case Study: LNG Physical Trade Lifecycle
172. Quiz: Deal Capture
173. Review Exercises
174. Practical Lab
175. Best Practices
176. Troubleshooting Common Errors
177. Deal Approval Hierarchies
178. Trade Reporting
179. Integration with Exchanges (ICE/EEX)
180. Back-to-Back Deal Processing
181. Deal Migration Scenarios
182. Automation and Batch Jobs
183. Section Review