Program details

Program Details at the top of the Program pane defines the program through a collection of attributes.

Companies > [Company] > Programs > Program Details

Attributes common to all programs include those listed in the table below.

Attribute

Description

Program

The user-defined name of the reinsurance program.

Type

Type of reinsurance program (e.g. CatastropheExcess of Loss).

Inception

Date of the first day on which coveragefor this treaty is effective.

Expiration

Date of the last day on which coveragefor this treaty is effective.

Currency Rate Table

This field is currently not being used in currency conversion and populates based on what has been setup in Admin console > Currency settings > Display Defaults. The program currency is saved in the database based on the “Save Terms in” currency.

Assessment

Indicates (Yes) if this is an assessment program, otherwise blank.

Description

User-supplied description of this reinsurance program.

Additional program attributes are defined in the Layers, Program Options, Cat Bond Layer (when available), and Relationships tabs.