Initiatives & Releases

C7 CAS Releases

Release 2.280

With the introduction of the C7 CAS Release 2.280, Eurex Clearing further improved the user experience for Clearing Members by introducing the following enhancements:

  • Onboarding and Client Lifecycle Management Dashboard 
  • ETD Product Capacities
  • Clearer Cash Account maintenance for the standard pool of the Clearing Member 


Production start: 24 January 2024

Release Items/Participants Requirements

Feature/Enhancement 

Details

Action Item

Onboarding and Client Lifecycle Management Dashboard 


After the login to C7 CAS, Clearing Members will be presented with a new dashboard. The dashboard will support widgets with new functionalities and direct links that enhance the user experience.

 
The following functionalities can be accessed via the dashboard:  

  • Overview of ongoing requests for Disclosed Clients, Authorized Managers, Settlement Accounts, Buy-in Accounts, Position Accounts and ETD Capacities
  • Overview of onboarded Disclosed Clients, Authorized Managers and Sub-Entities
  • Direct link to information on recent and upcoming C7 CAS Releases
  • Direct link to C7 CAS Support webpages.

There is no action required.

ETD Product Capacities

With the introduction of ETD Product Capacities, Clearing Members will be able to assign and de-assign capacities to their own membership as well as their Disclosed Clients with Member ID. With this functionality, the maintenance of CSD accounts for physical settled products will be introduced as well.  


Additionally, an overview of all assigned capacities per Disclosed Client and Clearing Member will be available, together with an overview of CSD selection.

For further details, please refer to our user guide: ETD Product Capacity Maintenance.

There is no action required.

Clearer Cash Account maintenance for the standard pool of the Clearing Member 

After the successful introduction of Clearer Cash Account maintenance for client pools in C7 CAS, the functionality will be further extended with the proprietary pool of the Clearing Member.

As of 15 January 2024, all Clearing Members will be able to setup, change and delete their Clearer Cash Accounts assigned to the standard pool via a Segregation Change Request.

There is no action required.

For further details, Eurex Clearing will soon publish additional user guides for Clearing Members under this Support page.

Contact

Eurex Frankfurt AG
Key Account Management

Service times from 09:00 - 18:00 CET

T +49-69-211-10 333

client.services@eurex.com