The Project Settings tab is where Project Managers can define descriptive details about a Project, such as the Deal Type, Asset Class and Sub-asset Class, etc. Details on this page are typically static (ie they do not typically change once inputed).

No field on this page drives model outputs, including for the avoidance of doubt the Prefunding Date and Payment Date fields.

However, the Deal Type, Asset Class, Asset Sub-Class, Vintage, Issuer, Lead Banker and Trustee fields all drive the data points that appear in the Deal Library.