Spaces
Apps
Templates
Create
PropReports Documentation
All content
Space settings
Shortcuts
How-to articles
How-to articles
This trigger is hidden
Content
Results will update as you type.
•
10% Volume Report
•
Account ID & Names
•
Account Import Rules
•
Adding a Manager login
•
Adding a Superuser Login
•
Adding a Trader Login
•
Adding an Account to a Group
•
Adjusting a Closing Price
•
Adjustment Categories
•
Adjustments Report
•
Affiliates
•
API
•
Assign a Trade Fee Schedule
•
Assuring Trade Fee Plans are Assigned to All Accounts
•
Audit Trail
•
Average Price of Open Positions
•
Finding Adjustments
•
Balances
•
Base Currencies
•
Buyout/Delist
•
Canceling a Trade
•
Closing an Account
•
Common Execution Discrepancies
•
Common Position Discrepancies
•
Communication
•
Contract Templates
•
Copy Settings From
•
Correcting a Ticker Symbol
•
Creating a New Account
•
Creating Recurring Fees
•
Customer Testimonials
•
Deleting a Recurring Fee from an Account
•
Deleting a Trade
•
Deleting an Upload
•
Delivering Data to PropReports via FTP
•
Detailed
•
Disabling Profit/Loss Computation
•
E-Mailing Users
•
Exclusion & Inclusion rules for Accounts and Adjustments on Uploads
•
Excluding Accounts From an Upload
•
Expiring Options
Exporting Executions
•
Fee Rounding
•
Fee Rules
•
Fee Schedule Formulas
•
Fees by Destination
•
Fill Intention or Side
•
Fill Status
Finding a Position
•
Finding a Trade
•
Finding a User
•
Finding an Account
•
Finding Corporate Action entries
•
Finding Locates
•
Generic Balance Post-Processor
•
Getting Started With PropReports
•
Group Categories
•
Groups
•
How PropReports Maintains Symbol Information
•
How PropReports Prices Securities
•
How-to articles
•
Integration Requirements
•
Interpreting Reconciliation Reports
•
Issues with CSV Files in Excel
•
Linking to Service Registration
•
Liquidity Flags
•
Manager Permissions
•
Manually Posting an Execution
•
Marking the Close
•
Mass Assign a Trade Fee Schedule
•
Merger/Acquisitions
•
Moving a Trade Between Accounts
•
NFA
•
NSCC
•
Open Position Reports
•
Option Expiration
•
Option Exercise/Assignment tool
•
ORF
•
P&L Alert
•
Per Execution
•
Per Order
•
Per Symbol
•
Permission a Trader to View Multiple Accounts
•
Posting Adjustments
•
Precision of Calculations
•
PropReports Firm Edition vs. Trader Edition
•
Realized and Unrealized Profit or Loss
•
Reconciliation Overview
•
Regular Expression Patterns
•
Release Notes
•
Report Permissions
•
Rerun a Reconciliation Report
•
Sample Commission Plans
•
Sample Recurring Adjustment Plans
•
SEC
•
Set a Recurring Fee
•
Short Sales
•
Source Ids
•
Stock Split
•
Symbol Change
•
Symbology
•
TAF
•
Tape Designations
•
Tasks
•
The Summary by Date Report
•
Ticker Symbol Import Rules
•
Top/Bottom Ten
•
Totals by Account / Group
•
Totals by Date Report
•
Totals By Symbol
•
Trade Fees
•
Trade Performance
•
Trade Performance by Account
•
Trade Search
•
Trades Report
•
Uploading a File
•
Uploading an Adjustments File
•
Generic Execution format
•
Uploading Closing Prices and Spot Rates
•
Uploading Locates
•
User Documents
•
User Roles
•
Wash Trades
•
Uploading Accounts
•
Updating Instrument Data
•
Uploading Users
•
Uploading Payout values
•
Finding Adjustments (Users)
PropReports Documentation
/
Finding a User
Summarize
Finding a User
Noah Keats
Owned by
Noah Keats
Last updated:
Sept 11, 2012
1 min read
Loading data...
To find a
user
, navigate to the
Users
page and search by:
E-mail Address
Last Name
First Name
User Id
Phone Number (Some or All)
{"serverDuration": 13, "requestCorrelationId": "bff5e96e6d4a4174a2a873c395790bab"}