0820
ISO 15022 CRs
ISO 15022 Corporate Actions CRs
06-Jun-2019
For Info
06-Jun-2019
SWIFT
149
0819
NPP Australia
pain.001 (Payments Initiation), pain.013, 014 (Creditor Payment Activation Request), pacs.008 (Payments Clearing and Settlement)
05-Jun-2019
Approved
30-Aug-2019
SWIFT, CBI
147
0818
TCH (on behalf of CHIPS)
pacs.004 (Payments Clearing and Settlement)
30-May-2019
Approved
30-Aug-2019
SWIFT
147
0817
TCH (on behalf of CHIPS)
pacs.004 (Payments Clearing and Settlement)
30-May-2019
Approved
30-Aug-2019
SWIFT
147
0816
IT NMPG
acmt.001-003 (Investment Funds)
31-May-2019
Approved
29-Aug-2019
SWIFT
146
0815
SMPG CA
seev.031, seev.033-seev.037, seev.040-seev.042 (Corporate Actions)
31-May-2019
Approved
24-Jun-2019
SWIFT
149
0814
SWIFT
seev.032 (Corporate Actions)
31-May-2019
Approved
24-Jun-2019
SWIFT
149
0813
SMPG IF
sese.010 (Investment Funds)
31-May-2019
Approved
29-Aug-2019
SWIFT
146
0812
SMPG IF
sese.011 (Investment Funds)
31-May-2019
Approved
29-Aug-2019
SWIFT
146
0811
nexo
caaa.001-014, 016-019 (Card Payments Exchanges - Acceptor to Acquirer) catm.001-008 (Card Payments Exchanges - Terminal Management)
29-May-2019
Approved
03-Sep-2019
nexo
148
0810
nexo
catm.001, 003, 005 (Card Payments Exchanges - Terminal Management)
29-May-2019
Approved
03-Sep-2019
nexo
148
0809
nexo
caaa.001-014, 016-019 (Card Payments Exchanges - Acceptor to Acquirer) catm.001-003, 005-008 (Card Payments Exchanges - Terminal Management)
29-May-2019
Approved
03-Sep-2019
nexo
148
0808
nexo
caaa.001, 003, 005, 007, 009, 011, 016, 018 (Card Payments Exchanges - Acceptor to Acquirer) catm.001 (Card Payments Exchanges - Terminal Management)
29-May-2019
Approved
03-Sep-2019
nexo
148
0807
nexo
caaa.001, 003, 005, 007, 009, 011, 016, 018 (Card Payments Exchanges - Acceptor to Acquirer)
29-May-2019
Approved
03-Sep-2019
nexo
148
0806
nexo
caaa.001-003, 005-007, 009, 011, 013, 014, 016-018 (Card Payments Exchanges - Acceptor to Acquirer)
29-May-2019
Approved
03-Sep-2019
nexo
148
0805
nexo
catm.001, 002, 003, 005, 006 (Card Payments Exchanges - Terminal Management)
29-May-2019
Approved
03-Sep-2019
nexo
148
0804
nexo
caaa.001, 003, 005, 007, 009, 011, 016,018 (Card Payments Exchanges - Acceptor to Acquirer)
29-May-2019
Approved
03-Sep-2019
nexo
148
0803
SIX Interbank Clearing Ltd, Zurich
pain.001 (Payments Initiation)
28-May-2019
Approved
29-Aug-2019
SWIFT
147
0802
SIX Interbank Clearing Ltd, Zurich
pain.001 (Payments Initiation)
28-May-2019
Approved
29-Aug-2019
SWIFT
147
0801
SIX Interbank Clearing Ltd, Zurich
pain.001 (Payments Initiation)
28-May-2019
Rejected
01-Jul-2019
SWIFT
0800
IT NMPG
reda.004 (Investment Funds)
24-May-2019
Approved
10-Jul-2020
SWIFT
146
0799
IT NMPG
acmt.001-003 (Investment Funds)
24-May-2019
Approved
29-Aug-2019
SWIFT
146
0798
IT NMPG
acmt.001-003 (Investment Funds)
24-May-2019
Approved
29-Aug-2019
SWIFT
146
0797
IT NMPG
acmt.001-003 (Investment Funds)
24-May-2019
Approved
29-Aug-2019
SWIFT
146
0796
SWIFT
reda.004 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0795
SWIFT/Funds SMPG/Funds UK NMPG
sese.001, sese.003, sese.005, sese.007 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0794
SWIFT/Funds SMPG/Funds UK NMPG
sese.001, sese.003, sese.005, sese.007 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0793
SWIFT/Funds SMPG/Funds UK NMPG
sese.001, sese.003, sese.005, sese.007 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0792
SWIFT/Funds SMPG
sese.003, sese.007 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0791
SWIFT/Funds SMPG
sese.004, sese.006 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0790
SWIFT/Funds UK NMPG
sese.012-013, sese.018-019 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0789
SWIFT/Funds UK NMPG
sese.012-013, sese.018-019 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0788
SWIFT/Funds UK NMPG
sese.012-013, sese.018-019 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0787
SWIFT/Funds UK NMPG
sese.012-013, sese.018 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0786
SWIFT/Funds UK NMPG
sese.011, sese.013, sese.018 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0785
SWIFT/Funds UK NMPG
sese.018 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0784
SWIFT/Funds UK NMPG
sese.012-013, sese.018-019 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0783
SWIFT/Funds SMPG
sese.012-013 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0782
SWIFT/Funds SMPG
sese.012-013, sese.018-019 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0781
SWIFT/Funds UK NMPG
sese.012-013, sese.018-019 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0780
SWIFT/Funds UK NMPG
sese.012-013, sese.018-019 (Investment Funds)
15-May-2019
Approved
29-Aug-2019
SWIFT
146
0779
Payments CA
camt.048 (Cash Management)
17-May-2019
Approved
30-Aug-2019
SWIFT
147
0778
Payments CA
admi.002/admi.004 (Post Trade Foreign Exchange)
17-May-2019
Rejected
11-Oct-2019
CLS
0777
EPC
camt.029 (Exceptions & Investigations)
10-May-2019
Approved
30-Aug-2019
SWIFT
147
0776
Oesterreichische Nationalbank
External Code Set (CashClearingSystem)
07-May-2019
Approved
08-May-2019
N/A
N/A
0775
TCH
pain.001 (Payments Initiation) pain.013 (Creditor Payment Activation Request) pacs.008-009 (Payments Clearing and Settlement) camt.007 (Cash Management) camt.028, 087 (Exceptions & Investigations) acmt.027, 028, 029, 031, 032 (Account Switching)
25-Apr-2019
Approved
30-Aug-2019
ISTH, SWIFT, CBI, Payments UK
147
0774
GUF
External Code Set (Category Purpose)
14-Mar-2019
Approved
07-May-2019
N/A
N/A
0773
GLEIF
Change to LEI in ISO 20022 business model
25-Mar-2019
Approved
11-Feb-2019
N/A
N/A
0772
Dutch Payments Association
External Code Set (LocalInstrument)
31-Jan-2019
Approved
11-Feb-2019
N/A
N/A
0771
FRBNY
Business Application Header
25-Jan-2019
Approved
03-Jul-2019
TSG