1328 |
CBPR plus |
External Code Set (Charge Type)
|
|
26-Jun-2023 |
Approved
|
07-Aug-2023 |
|
N/A |
N/A |
|
1327 |
Narodowy Bank Polski |
External Code Set (Cash Clearing System)
|
|
20-Jun-2023 |
Approved
|
03-Jul-2023 |
|
N/A |
N/A |
|
1326 |
PayUK |
External Code Set (Creditor Agent Instruction)
|
|
13-Jun-2023 |
Withdrawn
|
07-Aug-2023 |
|
N/A |
N/A |
|
1324 |
Financial Information Service Co., Ltd (FISC) |
External Code Set (Cash Clearing System)
|
|
02-Jun-2023 |
Approved
|
03-Jul-2023 |
|
N/A |
N/A |
|
1309 |
FRBNY |
External Code Set (Cancellation Reason)
|
|
30-May-2023 |
Approved
|
05-Jun-2023 |
|
N/A |
N/A |
|
1308 |
FRBNY |
External Code Set (Status Reason)
|
|
30-May-2023 |
Approved
|
05-Jun-2023 |
|
N/A |
N/A |
|
1306 |
FRBNY |
External Code Set (Status Reason)
|
|
30-May-2023 |
Withdrawn
|
05-Jun-2023 |
|
N/A |
N/A |
|
1286 |
SMPG Payments Task Force |
External Code Set (Bank Transaction Code)
|
|
03-May-2023 |
Approved
|
05-Jun-2023 |
|
N/A |
N/A |
|
1285 |
CBPR+ |
External Code Set (Cheque Cancellation Status)
|
|
03-May-2023 |
Approved
|
03-Jul-2023 |
|
N/A |
N/A |
|
1284 |
CBPR+ |
External Code Set (Cheque Cancellation Reason)
|
|
03-May-2023 |
Approved
|
05-Jun-2023 |
|
N/A |
N/A |
|
1283 |
National Bank of Romania |
External Code Set (Cash Clearing System)
|
|
04-May-2023 |
Approved
|
05-Jun-2023 |
|
N/A |
N/A |
|
1279 |
Pay.UK |
External Code Set (Local Instrument)
|
|
24-Apr-2023 |
Approved
|
03-Jul-2023 |
|
N/A |
N/A |
|
1276 |
SWIFT on behalf of Bank of Korea |
External Code Set (Clearing System Identification)
|
|
05-Apr-2023 |
Approved
|
08-May-2023 |
|
N/A |
N/A |
|
1275 |
SWIFT on behalf of Bank of Korea |
External Code Set (Cash Clearing System)
|
|
05-Apr-2023 |
Approved
|
08-May-2023 |
|
N/A |
N/A |
|
1274 |
EPC |
External Code Set (Service Level)
|
|
31-Mar-2023 |
Approved
|
08-May-2023 |
|
N/A |
N/A |
|
1160 |
SWIFT |
External Code Set (Return Reason)
|
|
16-Feb-2023 |
Approved
|
06-Mar-2023 |
|
N/A |
N/A |
|
1159 |
Swedish Bankers’ Association |
pacs (remittance information)
|
|
28-Apr-2022 |
Rejected
|
28-Apr-2022 |
|
Swift |
|
|
1154 |
Payments Association of South Africa |
External Code Set (OrganisationIdentification)
|
|
06-Dec-2022 |
Withdrawn
|
03-Jul-2023 |
|
N/A |
N/A |
|
1153 |
SWIFT on behalf of Bank of Papua New Guinea |
External Code Set (CashClearingSystem)
|
|
03-Dec-2022 |
Approved
|
09-Jan-2023 |
|
N/A |
N/A |
|
1152 |
STET |
External code set (StatusReason)
|
|
23-Nov-2022 |
Forwarded to SEG
|
29-Nov-2022 |
|
N/A |
N/A |
|
1151 |
CIPS |
External Code Set (Clearing System Identification)
|
|
30-Sep-2022 |
Approved
|
07-Nov-2022 |
|
N/A |
N/A |
|
1150 |
Dutch Payments Association |
External code set (Category Purpose)
|
|
10-Oct-2022 |
Approved
|
03-Apr-2023 |
|
N/A |
N/A |
|
1149 |
Banco de Mocambique |
External Code Set (Clearing System Identification)
|
|
14-Sep-2022 |
Approved
|
03-Oct-2022 |
|
N/A |
N/A |
|
1148 |
Payments Market Practice Group (PMPG) |
External Code Set (ServiceLevel)
|
|
17-Aug-2022 |
Approved
|
03-Oct-2022 |
|
N/A |
N/A |
|
1147 |
Payments Association of South Africa |
External Code Set (Category Purpose)
|
|
17-Aug-2022 |
Approved
|
12-Sep-2022 |
|
N/A |
N/A |
|
1146 |
PASA |
External Code Set (Cash Account Type)
|
|
23-Aug-2022 |
Approved
|
03-Oct-2022 |
|
N/A |
N/A |
|
1145 |
SWIFT |
External Code Set (Purpose)
|
|
17-Aug-2022 |
Approved
|
06-Dec-2023 |
|
N/A |
N/A |
|
1144 |
Banco de Mocambique |
External code Set (Cash Clearing System)
|
|
28-Jul-2022 |
Approved
|
12-Sep-2022 |
|
N/A |
N/A |
|
1143 |
PASA |
External code set (Category Purpose)
|
|
05-Jul-2022 |
Approved
|
31-Jan-2023 |
|
N/A |
N/A |
|
1139 |
SWIFT, on behalf of the Securities Digital Asset Working Group |
External Code Set (Financial Instrument Identification Type)
|
|
07-Jul-2022 |
Approved
|
08-Sep-2022 |
|
N/A |
N/A |
|
1138 |
Federal Reserve Bank of New York |
External Code Set (Investigation Execution Confirmation)
|
|
24-Jun-2022 |
Approved
|
18-Jul-2022 |
|
N/A |
N/A |
|
1100 |
PSA PaymentServicesAustria |
Bank Transactions Codes
|
|
16-May-2022 |
Approved
|
29-Nov-2022 |
|
N/A |
N/A |
|
1094 |
Pay.UK |
External Code Set (Local Instrument)
|
|
20-Apr-2022 |
Approved
|
09-May-2022 |
|
N/A |
N/A |
|
1092 |
J.P. Morgan Chase Bank |
External code set (Payment Transaction Status)
|
|
30-Mar-2022 |
Approved
|
09-May-2022 |
|
N/A |
N/A |
|
1090 |
ISITC |
External Code Set (Purpose + Category Purpose)
|
|
16-Mar-2022 |
Approved
|
04-Apr-2022 |
|
ISITC |
N/A |
|
1089 |
Bank Julius Baer Zurich |
Bank Transaction Codes
|
|
10-Mar-2022 |
Approved
|
03-Apr-2023 |
|
N/A |
N/A |
|
1088 |
Sveriges Riksbank |
External code set (Cash Clearing System)
|
|
21-Feb-2022 |
Approved
|
04-Apr-2022 |
|
Sveriges Riksbank |
N/A |
|
1086 |
SWIFT - on behalf of Monetary Authority of Singapore (MAS) |
External Code Set (Cash Clearing System)
|
|
08-Feb-2022 |
Approved
|
07-Mar-2022 |
|
SWIFT - on behalf of Monetary Authority of Singapore (MAS) |
N/A |
|
1085 |
Barclays Bank |
External code sets (Status and Return Reason)
|
|
24-Jan-2022 |
Approved
|
09-May-2022 |
|
Barclays Bank |
N/A |
|
1084 |
SWIFT |
External code set (Service Level)
|
|
21-Jan-2022 |
Approved
|
07-Mar-2022 |
|
SWIFT |
N/A |
|
1082 |
DNB Bank ASA |
External Code Set (PaymentTransactionStatus)
|
|
04-Jan-2022 |
Withdrawn
|
04-Mar-2022 |
|
DNB Bank ASA |
N/A |
|
1081 |
ISITC and SMPG |
Bank Transaction Code Set + External code Set (Purpose)
|
|
17-Dec-2021 |
Approved
|
04-Apr-2022 |
|
ISITC and SMPG |
N/A |
|
1076 |
Pay.UK |
External Code Set (CashClearingSystem)
|
|
06-Dec-2021 |
Approved
|
01-Jul-2022 |
|
Pay.UK |
N/A |
|
1075 |
CGI-MP (Common Global Implementation – Market Practice), Workgroup 1 (Bank to Corporate Reporting) |
External Code Set (Cash Account Type)
|
|
03-Dec-2021 |
Approved
|
06-Dec-2021 |
|
CGI-MP (Common Global Implementation – Market Practice), Workgroup 1 (Bank to Corporate Reporting) |
N/A |
|
1074 |
PSA Payment Service Austria |
External code set (Service Level)
|
|
03-Nov-2021 |
Approved
|
06-Dec-2021 |
|
N/A |
N/A |
|
1073 |
SWIFT |
External code set (Cash Clearing System)
|
|
26-Oct-2021 |
Approved
|
08-Nov-2021 |
|
SWIFT |
N/A |
|
1072 |
CHINA CENTRAL DEPOSITORY & CLEARING CO.,LTD. |
External Code Set (Financial Instrument Identification Type)
|
|
22-Oct-2021 |
Approved
|
21-Dec-2021 |
|
CHINA CENTRAL DEPOSITORY & CLEARING CO.,LTD. |
N/A |
|
1071 |
ROSSWIFT |
External code set (LetterType)
|
|
29-Sep-2021 |
Approved
|
08-Nov-2021 |
|
ROSSWIFT |
197 |
|
1070 |
ROSSWIFT |
External code set (ContractBalanceType)
|
|
29-Sep-2021 |
Approved
|
08-Nov-2021 |
|
ROSSWIFT |
197 |
|
1069 |
SWIFT |
External code sets (Category Purpose/Purpose)
|
|
29-Sep-2021 |
Approved
|
08-Nov-2021 |
|
SWIFT |
N/A |
|