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

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 . 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.
