The "Related messages/code set" indicates the Message Identifier(s) of the Message Definitions impacted by the Change Request(s) - starting with the business area (4 characters).
To know more about the ISO 20022 registered business areas, you can download the list that is made available here.
1460 results
CR Id
Submitter
Related messages/code set
Summary
Received by RA on
Status
Status date
Next due date
Submitting Org.
MCR Id
Download
1114
ISITC
Corporate Actions (seev.040)
25-May-2022
Approved
12-Jul-2022
SWIFT
211
1113
SMPG
Corporate Actions (seev.035, 037)
25-May-2022
Approved
12-Jul-2022
SWIFT
211
1112
SMPG
Corporate Actions (seev.031, 035)
25-May-2022
Approved
12-Jul-2022
SWIFT
211
1111
DESSUG CA Germany
Shareholder Identification Disclosure (seev.045)
25-May-2022
Approved
12-Jul-2022
SWIFT/SMPG
205
1110
German NMPG - DESSUG CA
Issuers' Agents Communication (seev.009-030)
25-May-2022
Withdrawn
03-Jun-2022
SWIFT
N/A
1109
Proxy Subgroup Germany
General Meeting (seev.001-008)
24-May-2022
Rejected
13-Jul-2022
SWIFT
205
1108
SMPG
General Meeting (seev.007, 008)
24-May-2022
Approved
12-Jul-2022
SWIFT
205
1107
SIX Interbank Clearing Ltd
Cash Management (camt.005)
23-May-2022
Approved
26-Aug-2022
SWIFT
208
1106
SIX Interbank Clearing Ltd
Payments Clearing and Settlement (pacs.002)
23-May-2022
Approved
26-Aug-2022
SWIFT
208
1105
SIX Interbank Clearing Ltd
Payments Clearing and Settlement (pacs.004, 008)
23-May-2022
Approved
26-Aug-2022
SWIFT
208
1104
SMPG
General Meeting (seev.004)
23-May-2022
Approved
12-Jul-2022
SWIFT
211
1103
SMPG
General Meeting (seev.004)
23-May-2022
Approved
12-Jul-2022
SWIFT
211
1102
Proxymity Limited
General Meeting (seev.006)
23-May-2022
Approved
12-Jul-2022
SWIFT
211
1101
Clearstream Banking
General Meeting (seev.001-005, 008)
18-May-2022
Approved
12-Jul-2022
SWIFT
211
1100
PSA PaymentServicesAustria
Bank Transactions Codes
16-May-2022
Approved
29-Nov-2022
N/A
N/A
1099
CCDC
Data Source Scheme
11-May-2022
Approved
11-May-2022
N/A
N/A
1098
CCDC
Data Source Scheme
11-May-2022
Approved
11-May-2022
N/A
N/A
1097
SMPG
Corporate Actions (seev.004)
27-Apr-2022
Approved
12-Jul-2022
SWIFT
211
1096
SMPG
Investment Funds (semt.001)
27-Apr-2022
Approved
12-Jul-2022
SWIFT
TBD
1095
Japan Securities Depository Center
Post Trade Matching (semt.023, setr.027, 029, 030, 044)
25-Apr-2022
Approved
12-Jul-2022
Omgeo/SWIFT
TBD
1094
Pay.UK
External Code Set (Local Instrument)
20-Apr-2022
Approved
09-May-2022
N/A
N/A
1093
Russian National Member and User Group (ROSSWIFT)
Creditor Payment Activation Request (pain.013)
19-Apr-2022
Approved
26-Aug-2022
CBI
208
1092
J.P. Morgan Chase Bank
External code set (Payment Transaction Status)
30-Mar-2022
Approved
09-May-2022
N/A
N/A
1091
Partior Pte.Ltd.
Cash Management (camt.046)
29-Mar-2022
Approved
26-Aug-2022
SWIFT
208
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
1087
ACI Worldwide
Acceptor to Acquirer Card Transactions (caaa.004-008)
25-Feb-2022
Withdrawn
13-Sep-2022
nexo
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
1083
Payments Canada
Cash Management (camt.007-008)
17-Jan-2022
Approved
26-Aug-2022
SWIFT
208
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
1080
China Foreign Exchange Trade System
FX Post Trade Trade Capture (fxtr.037)
07-Dec-2021
Approved
10-Sep-2024
CFETS
210
1079
China Foreign Exchange Trade System
FX Post Trade Trade Capture (fxtr.034)
07-Dec-2021
Approved
10-Sep-2024
CFETS
210
1078
China Foreign Exchange Trade System
FX Post Trade Trade Capture (fxtr.033)
07-Dec-2021
Approved
10-Sep-2024
CFETS
210
1077
China Foreign Exchange Trade System
FX Post Trade Trade Capture (fxtr.031)
07-Dec-2021
Approved
10-Sep-2024
CFETS
210
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)