0338
ISO 20022 RA
tsmt.011 (Trade Services Management)
14-Feb-2014
Approved
18-Sep-2014
SWIFT
90
0337
ISO 20022 RA
tsin.004 (Financial Invoice)
14-Feb-2014
Withdrawn
30-Nov-2016
ISO20022 RA
0336
ISO 20022 RA
Invoice Financing Request
14-Feb-2014
Archived
15-Apr-2025
CBI
0335
ISO 20022 RA
Issuers' Agent Communication
14-Feb-2014
Withdrawn
14-Jul-2014
Euroclear
0334
ISO 20022 RA
camt.086 (Bank Services Billing)
14-Feb-2014
Approved
14-Sep-2015
SWIFT
106
0333
ISO 20022 RA
auth.008, 009 (Transaction Regulatory Reporting)
14-Feb-2014
Archived
15-Apr-2025
SWIFT
0332
ISO 20022 RA
Notification to Receive
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0331
ISO 20022 RA
Payments Mandates
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0330
ISO 20022 RA
Payments Initiation
14-Feb-2014
Withdrawn
27-Feb-2014
ISTH/SWIFT
0329
ISO 20022 RA
Payments Clearing and Settlement
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0328
ISO 20022 RA
Exceptions and Investigations
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0327
ISO 20022 RA
Creditor Payment Activation Request
14-Feb-2014
Withdrawn
27-Feb-2014
CBI
0326
ISO 20022 RA
Change/Verify Account Identification
14-Feb-2014
Withdrawn
27-Feb-2014
GUF
0325
ISO 20022 RA
B2C Cash Management
14-Feb-2014
Withdrawn
27-Feb-2014
ISTH/SWIFT
0324
ISO 20022 RA
Bank Account Management
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0323
ISO 20022 RA
Authorites Financial Investigations
14-Feb-2014
Withdrawn
27-Feb-2014
FFI
0322
ISO 20022 RA
Total Portfolio Valuation Report
14-Feb-2014
Withdrawn
27-Feb-2014
ISITC
0321
ISO 20022 RA
Corporate Actions
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0320
ISO 20022 RA
Securities Settlement & Reconciliation
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0319
ISO 20022 RA
Securities Post Trade Matching
14-Feb-2014
Withdrawn
27-Feb-2014
Omgeo/SWIFT
0318
ISO 20022 RA
Proxy Voting
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0317
ISO 20022 RA
Investment Funds, FPP
14-Feb-2014
Withdrawn
27-Feb-2014
SWIFT
0316
Trade SEG
External Code Set (Incoterms)
30-Jan-2014
Approved
04-Feb-2014
N/A
N/A
0315
Bit Ahead Software Foundation
External Code Set (CashClearingSystem)
31-Jan-2014
Approved
05-May-2014
N/A
N/A
0314
SWIFT
External Code Set (ClearingSystemIdentification)
18-Nov-2013
Approved
06-Jan-2014
N/A
N/A
0313
German Savings Banks Association
camt.052, 053, 054 (B2C Cash Management)
07-Sep-2013
Approved
01-Dec-2014
ISTH
94
0312
German Savings Banks Association
External Code Set (Purpose)
29-Oct-2013
Approved
06-Jan-2014
N/A
N/A
0311
German Savings Banks Association
External Code Set (Purpose)
29-Oct-2013
Approved
06-Jan-2014
N/A
N/A
0310
Canadian Payments Association
External Code Set (CashClearingSystem)
08-Oct-2013
Approved
06-Jan-2014
N/A
N/A
0309
NMPG IT/SWIFT
acmt.006 (Investment Funds)
13-Sep-2013
Approved
07-Oct-2013
SWIFT
78
0308
German Savings Banks Association
External Code Set (Purpose)
10-Jul-2013
Approved
24-Mar-2023
N/A
N/A
0307
SWIFT
sese.012, 13, 14, 18, 19 (Investment Funds)
03-Jul-2013
Approved
14-Aug-2013
SWIFT
78
0306
SWIFT
sese.001-010, 012, 13, 14, 18, 19 (Investment Funds)
03-Jul-2013
Approved
14-Aug-2013
SWIFT
78
0305
SWIFT
sese.003, 4, 7, 8 (Investment Funds)
03-Jul-2013
Approved
14-Aug-2013
SWIFT
78
0304
SWIFT
sese.013 (Investment Funds)
03-Jul-2013
Approved
14-Aug-2013
SWIFT
78
0303
SWIFT
sese.018 (Investment Funds)
03-Jul-2013
Approved
14-Aug-2013
SWIFT
78
0302
SWIFT
sese.012, 13, 14, 18, 19 (Investment Funds)
03-Jul-2013
Approved
14-Aug-2013
SWIFT
78
0301
SWIFT
sese.030, 031, 038 (Settlement & Reconciliation)
21-Jun-2013
Approved
31-Oct-2013
SWIFT
76
0300
SWIFT
semt.017 (Settlement & Reconciliation)
21-Jun-2013
Approved
31-Oct-2013
SWIFT
76
0299
SWIFT
semt.002, 003, 017 (Settlement & Reconciliation)
21-Jun-2013
Approved
08-Jul-2013
SWIFT
76
0298
SWIFT
sese.020 (Settlement & Reconciliation)
21-Jun-2013
Approved
31-Oct-2013
SWIFT
76
0297
SWIFT
sese.038 (Settlement & Reconciliation)
21-Jun-2013
Approved
31-Oct-2013
SWIFT
76
0296
SWIFT
setr.027 (Post-Trade Matching)
21-Jun-2013
Approved
31-Oct-2013
SWIFT
76
0295
SWIFT
ISO 15022 Settlement & Reconciliation CRs
12-Jun-2013
Approved
31-Oct-2013
SWIFT
76
0294
SWIFT
ISO 15022 Common CRs
11-Jun-2013
Approved
31-Oct-2013
SWIFT
76, 77
0293
SWIFT
ISO 15022 Corporate Actions CRs
11-Jun-2013
Approved
31-Oct-2013
SWIFT
77
0292
ISITC
seev.035, 036, 037, 044 (Corporate Actions)
31-May-2013
Approved
31-Oct-2013
SWIFT
77
0291
nexo A.I.S.B.L.(formerly EPASOrg A.I.S.B.L.)
catm.002, 003 (Terminal Management)
31-May-2013
Approved
23-Sep-2013
nexo A.I.S.B.L.(formerly EPASOrg A.I.S.B.L.)
81
0290
nexo A.I.S.B.L.(formerly EPASOrg A.I.S.B.L.)
caaa.001, 003, 011 (Acceptor to Acquirer Card Transactions)
31-May-2013
Approved
23-Sep-2013
nexo A.I.S.B.L.(formerly EPASOrg A.I.S.B.L.)
81
0289
nexo A.I.S.B.L.(formerly EPASOrg A.I.S.B.L.)
caaa.001-014 (Acceptor to Acquirer Card Transactions), catm.001-003 (Terminal Management)
31-May-2013
Approved
23-Sep-2013
nexo A.I.S.B.L.(formerly EPASOrg A.I.S.B.L.)
81