0740 |
nexo |
caaa.002, 011 (Card Payments Exchanges - Acceptor to Acquirer) |
|
30-May-2018 |
Approved
|
01-Oct-2018 |
|
nexo |
136 |
|
0739 |
ISITC |
see.042 (Corporate Actions) |
|
29-May-2018 |
Approved
|
05-Jun-2018 |
|
SWIFT |
135 |
|
0738 |
ISITC |
seev.033, 034, 040, 041 (Corporate Actions) |
|
29-May-2018 |
Approved
|
05-Jun-2018 |
|
SWIFT |
135 |
|
0734 |
SWIFT/Funds SMPG IF & NMPG IT, UK FTS |
reda.004 (Investment Funds) |
|
29-May-2018 |
Approved
|
26-Sep-2018 |
|
SWIFT |
133 |
|
0733 |
SMPG IF |
semt.017 (Settlement and Reconciliation) |
|
29-May-2018 |
Approved
|
05-Jun-2018 |
|
SWIFT |
134 |
|
0732 |
SWIFT |
pain.001, 002 (Payments Initiation) pain.013,014 (Creditor Payment Activation Request) pacs.002-004, 007-010, 028 (Payments Clearing and Settlement) |
|
29-May-2018 |
Approved
|
26-Sep-2018 |
|
CBI, SWIFT |
137 |
|
0731 |
Payments Market Practice Group (PMPG) |
pain.001, 002 (Payments Initiation) pain.013,014 (Creditor Payment Activation Request) pacs.002-004, 007-010, 028 (Payments Clearing and Settlement) camt.052 (Bank-to-Customer Cash Management) |
|
29-May-2018 |
Approved
|
26-Sep-2018 |
|
CBI, SWIFT |
137 |
|
0730 |
HVPS+ Group |
pain.001, 002 (Payments Initiation) pain.013,014 (Creditor Payment Activation Request) pacs.002-004, 007-010, 028 (Payments Clearing and Settlement) camt.005,006 (candidate messages for Cash Management) camt.029, 036, 037, 055, 056, 087 (Exceptions and Investigations) camt.052-054 (Bank-to-Customer Cash Management) camt.059 (Notification to Receive) |
|
25-May-2018 |
Approved
|
26-Sep-2018 |
|
CBI, SWIFT |
137 |
|
0729 |
Deutsche Bundesbank |
pacs.002 (Payments Clearing and Settlement) |
|
25-May-2018 |
Approved
|
26-Sep-2018 |
|
SWIFT |
137 |
|
0728 |
Deutsche Bundesbank |
pacs.004 and 010 (Payments Clearing and Settlement) |
|
25-May-2018 |
Approved
|
26-Sep-2018 |
|
SWIFT |
137 |
|
0727 |
New Payment System Operator (NPSO) United Kingdom |
pain.001, 002, 007, 008 (Payments Initiation) pain.013,014 (Creditor Payment Activation Request) pacs.002-004, 007-010, 028 (Payments Clearing and Settlement) camt.005-008, 025, 050,051 (candidate messages for Cash Management) camt.026-029, 036, 037, 055, 056, 087 (Exceptions and Investigations) camt.057-059 (Notification to Receive) camt.052-054 (Bank-To-Customer Cash Management) |
|
23-May-2018 |
Withdrawn
|
10-Jul-2018 |
|
New Payment System Operator (NPSO) United Kingdom |
|
|
0726 |
Bank of England |
pacs.002, 003, 004, 007-010, 028 (Payments Clearing and Settlement) pain.001, 002, 007, 008 (Payments Initiation) camt.052-054, 060 (Bank-to-Customer Cash Management) camt.056 (Exceptions and Investigations) |
|
17-May-2018 |
Approved
|
26-Sep-2018 |
|
ISTH, SWIFT |
137 |
|
0725 |
Bank of England |
pacs.009 (Payments Clearing and Settlement) |
|
17-May-2018 |
Approved
|
26-Sep-2018 |
|
SWIFT |
137 |
|
0724 |
Bank of England |
pacs.002, 003, 004, 007-009, 028 (Payments Clearing and Settlement) pain.001, 002, 007, 008 (Payments Initiation) camt.052-054, 060 (Bank-to-Customer Cash Management) camt.056 (Exceptions and Investigations) |
|
17-May-2018 |
Approved
|
26-Sep-2018 |
|
ISTH, SWIFT |
137 |
|
0723 |
Bank of England |
Business Application Header
|
|
17-May-2018 |
Withdrawn
|
21-Aug-2018 |
|
Bank of England |
N/A |
|
0722 |
Swiss Commission for Financial Standardisation |
Business Application Header (amended version of CR0531) |
|
16-May-2018 |
Approved
|
03-Jul-2019 |
|
TSG |
139 |
|
0721 |
Swiss Commission for Financial Standardisation |
Business Application Header
|
|
16-May-2018 |
Approved
|
03-Jul-2019 |
|
TSG |
139 |
|
0720 |
SWIFT/Funds UK NMPG |
sese.001, 003, 005, 007 Place of Trade (Investment Funds) |
|
14-May-2018 |
Withdrawn
|
29-May-2018 |
|
SWIFT/Funds UK NMPG |
|
|
0719 |
SWIFT/Funds UK NMPG |
sese.001, 003, 005, 007 Requested Trade Date (Investment Funds) |
|
14-May-2018 |
Withdrawn
|
29-May-2018 |
|
SWIFT/Funds UK NMPG |
|
|
0718 |
SWIFT/Funds UK NMPG |
sese.001 and 005 Book Cost (Investment Funds) |
|
14-May-2018 |
Withdrawn
|
29-May-2018 |
|
SWIFT/Funds UK NMPG |
|
|
0717 |
SWIFT/Funds SMPG |
sese.012, 013, 018, 019 Client Counterparty Ref Data (Investment Funds) |
|
14-May-2018 |
Approved
|
24-Sep-2018 |
|
SWIFT |
133 |
|
0716 |
SWIFT/Funds SMPG |
sese.006 Master Reference (Investment Funds) |
|
14-May-2018 |
Withdrawn
|
29-May-2018 |
|
SWIFT/Funds SMPG |
|
|
0715 |
SWIFT/Funds UK NMPG/Funds SMPG |
sese.001, 003, 005, 007 Settlement Parties (Investment Funds) |
|
14-May-2018 |
Withdrawn
|
29-May-2018 |
|
SWIFT/Funds UK NMPG/Funds SMPG |
|
|
0714 |
SWIFT/Funds UK NMPG/Funds SMPG |
sese.012, 013, 018, 019 Settlement Parties (Investment Funds) |
|
14-May-2018 |
Approved
|
24-Sep-2018 |
|
SWIFT |
133 |
|
0713 |
Clearstream |
setr.001, 003, 004, 006, 007, 009, 010, 012, 013, 015 (Investment Funds)
|
|
14-May-2018 |
Consider
|
04-Oct-2022 |
|
SWIFT |
|
|
0712 |
SWIFT/Funds SMPG |
reda.004 MiFID EMT (Investment Funds) |
|
25-Apr-2018 |
Approved
|
24-Sep-2018 |
|
SWIFT |
133 |
|
0710 |
SWIFT/Funds UK NMPG |
sese.011, 012, 013, 018, 019 (Investment Funds) |
|
16-Apr-2018 |
Approved
|
24-Sep-2018 |
|
SWIFT |
133 |
|
0703 |
Swedish NMPG |
sese.005, 006, 011 (Investment Funds) |
|
28-Jun-2017 |
Approved
|
30-Oct-2017 |
|
SWIFT |
127 |
|
0702 |
DTC |
seev.031-037, 039, 042 (SupplementaryData) |
|
21-Jun-2017 |
Approved
|
14-Jul-2017 |
|
DTC |
N/A |
|
0701 |
TCH |
camt.087 (Exceptions and Investigations)
|
|
21-Jun-2017 |
Withdrawn
|
10-Jul-2020 |
|
TCH |
|
|
0700 |
ISO 15022 RA |
ISO 15022 Settlement & Reconciliation CRs
|
|
06-Jun-2017 |
For Info
|
10-Jul-2020 |
|
SWIFT |
126 |
|
0699 |
ISO 15022 RA |
ISO 15022 Corporate Actions CRs |
|
06-Jun-2017 |
For Info
|
07-Jul-2017 |
|
SWIFT |
125 |
|
0698 |
FRB NY |
camt.052-054 (Bank-to-Customer Cash Management) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0697 |
FRB NY |
camt.052, 053 (Bank-to-Customer Cash Management) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0696 |
FRB NY |
camt.052-054 (Bank-to-Customer Cash Management) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0695 |
FRB NY |
camt.035 (Exceptions and Investigations) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0694 |
FRB NY |
camt.052, 060 (Bank-to-Customer Cash Management) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0693 |
FRB NY |
camt.052-054 (Bank-to-Customer Cash Management) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0692 |
FRB NY |
camt.052-054 (Bank-to-Customer Cash Management) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0691 |
FRB NY |
camt.052-054 (Bank-to-Customer Cash Management) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0690 |
FRB NY |
camt.052-054 (Bank-to-Customer Cash Management) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0689 |
FRB NY |
pacs.008, 009 (Payments Clearing and Settlement) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0688 |
FRB NY |
pacs.002, 004, 007 (Payments Clearing and Settlement), camt.056 (Exceptions and Investigations) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0687 |
FRB NY |
pacs.004 (Payments Clearing and Settlement), |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0686 |
SMPG |
sese.037 (Securities Settlement & Reconciliation) |
|
31-May-2017 |
Approved
|
30-Oct-2017 |
|
SWIFT |
126 |
|
0685 |
TCH |
pacs.004 (Payments Clearing and Settlement) |
|
31-May-2017 |
Approved
|
02-Oct-2017 |
|
SWIFT |
129 |
|
0684 |
nexo |
caaa.001-010, 013-014, 016-017 (Card Payments Exchanges - Acceptor to Acquirer) |
|
30-May-2017 |
Approved
|
06-Oct-2017 |
|
nexo |
128 |
|
0683 |
nexo |
caaa.001-010, 013-014, 016-019 (Card Payments Exchanges - Acceptor to Acquirer) |
|
30-May-2017 |
Approved
|
06-Oct-2017 |
|
nexo |
128 |
|
0682 |
nexo |
caaa.001,003, 005, 011 (Card Payments Exchanges - Acceptor to Acquirer) |
|
30-May-2017 |
Approved
|
06-Oct-2017 |
|
nexo |
128 |
|
0681 |
nexo |
caaa.002, 011 (Card Payments Exchanges - Acceptor to Acquirer) |
|
30-May-2017 |
Approved
|
06-Oct-2017 |
|
nexo |
128 |
|