Use this tab to overview liabilities connected to the selected institution. The tab presents aggregated data for each liability type.
The header part of the tab presents the validity date only. Current day is given by default. The selected date controls the values presented in the details. The detail part of the tab presents the liability type ID and name, and a set of summarized liability related values: nominal registration amount (Liability Amount field), paid amount and the balance for the presented liability type. All values are presented in relation to the Working Date selected.
For a description of each activity, follow activity diagrams.