Trading Programs' calculation process is responsible for matching transaction lines with your configured program lines to produce earnings. program lines are placed in the calculation queue within Trading Programs in response to changes which affect program line earnings. Some common examples include changes to:
The addition or removal of transaction lines to Trading Programs;
Program line configuration, e.g. a change to the program line start date;
The dimension items which are relevant to a program line.
Admin users are able to view pending calculations in Trading Programs as well as configure the calculation process by visiting the Calculation queue. This can be found by clicking Config at the top of the page, then selecting the Processing drop-down menu item.