Client Code Mapping to sell side code

Imported from previous forum

In a normal circumstance where is the mapping for client code to be done?
I.e where do we do the mapping of client code to Sell Side (Broker client code)(UCC).

Can single sub account of the buy side use & send multiple codes for sending orders to sell side. If yes then where & how is this situation to be tackled.

Thanks in anticpation of the quick fix!!

In a normal circumstance where is the mapping for client code to be
done? I.e where do we do the mapping of client code to Sell Side (Broker
client code)(UCC).

Can single sub account of the buy side use & send multiple codes for
sending orders to sell side. If yes then where & how is this situation
to be tackled.

Thanks in anticpation of the quick fix!!

Hi Amit,

I am not very clear on the kind of mapping you are looking for the translation of the broker client code into UCC. If you could elaborate further as to your specific requirement, that might help in giving the right answer.
For a ‘Quick-Fix’; as per FIX, one of the tranparent way you could have is to take a look at at tag 1 (Account)and think of mapping the value sent by the buy-side in that tag to its UCC code which you might have allotted to it.

For your other question, though I did not understand it clearly the answer is Even if the buyside is capable of sending multiple codes for its single sub-account, it all depends on on what you are left with to map the same with UCC code that is registered with the Exchange. Right?

Regards,
Shridevi