Tag |
Field Name |
Req'd |
Comments |
<MessageHeader> |
Y |
MsgType <35> = T
|
162 |
SettlInstID |
Y |
Unique message ID regardless of SettlInstMode <160>
|
163 |
SettlInstTransType |
Y |
New, Replace, or Cancel
|
214 |
SettlInstRefID |
Y |
Required for Cancel and Replace SettlInstTransType <163> messages
|
160 |
SettlInstMode |
Y |
1=Standing Instructions, 2=Specific Allocation Account Overriding, 3=Specific Allocation Account Standing , 4=Specific Order
|
165 |
SettlInstSource |
Y |
1=Broker's Settlement Instructions, 2=Institution's Settlement Instructions, 3=Investor
|
79 |
AllocAccount |
Y |
Required for SettlInstMode <160>=1, 2, or 3
|
467 |
IndividualAllocID |
N |
|
11 |
ClOrdID |
N |
Required for SettlInstMode <160>=4.
|
75 |
TradeDate |
N |
Required for SettlInstMode <160>=2 or 3
|
70 |
AllocID |
N |
Required for SettlInstMode <160>=2 or 3
|
30 |
LastMkt |
N |
Required for SettlInstMode <160>=2 or 3, May be required for SettlInstMode <160>=1
|
336 |
TradingSessionID |
N |
|
625 |
TradingSessionSubID |
N |
|
54 |
Side |
N |
Required for SettlInstMode <160>=2 or 3, May be required for SettlInstMode <160>=1
|
167 |
SecurityType |
N |
May be required for SettlInstMode <160>=1
|
168 |
EffectiveTime |
N |
May be required for SettlInstMode <160>=1 (timestamp when it goes in to effect)
|
60 |
TransactTime |
Y |
Date/Time Settlement Instructions <T> were generated
|
Component Block - <Parties> |
N |
Insert here the set of "<Parties>" (firm identification) fields
|
169 |
StandInstDbType |
N |
1=DTC SID, 2=Thomson ALERT, 3=Global Custodian's, etc.
|
170 |
StandInstDbName |
N |
Name of StandInstDbType <169> (i.e. DTC, Global Custodian's name)
|
171 |
StandInstDbID |
N |
Identifier used within the StandInstDbType <169>
|
172 |
SettlDeliveryType |
N |
|
173 |
SettlDepositoryCode |
N |
Applicable when PartyRole <452>="Settlement Location" and PartyID <448> value is a depository
|
174 |
SettlBrkrCode |
N |
|
175 |
SettlInstCode |
N |
|
176 |
SecuritySettlAgentName |
N |
Applicable when settlement is being performed at a country vs. a depository
|
177 |
SecuritySettlAgentCode |
N |
Applicable when settlement is being performed at a country vs. a depository
|
178 |
SecuritySettlAgentAcctNum |
N |
Applicable when settlement is being performed at a country vs. a depository
|
179 |
SecuritySettlAgentAcctName |
N |
Applicable when settlement is being performed at a country vs. a depository
|
180 |
SecuritySettlAgentContactName |
N |
Applicable when settlement is being performed at a country vs. a depository
|
181 |
SecuritySettlAgentContactPhone |
N |
Applicable when settlement is being performed at a country vs. a depository
|
182 |
CashSettlAgentName |
N |
Applicable when SettlDeliveryType <172>=Free. For CIV - applicable when settlement is between fund manager and intermediary, investor etc.
|
183 |
CashSettlAgentCode |
N |
Applicable when SettlDeliveryType <172>=Free. For CIV - applicable when settlement is between fund manager and intermediary, investor etc.
|
184 |
CashSettlAgentAcctNum |
N |
Applicable when SettlDeliveryType <172>=Free. For CIV - applicable when settlement is between fund manager and intermediary, investor etc.
|
185 |
CashSettlAgentAcctName |
N |
Applicable when SettlDeliveryType <172>=Free. For CIV - applicable when settlement is between fund manager and intermediary, investor etc.
|
186 |
CashSettlAgentContactName |
N |
Applicable when SettlDeliveryType <172>=Free. For CIV - applicable when settlement is between fund manager and intermediary, investor etc.
|
187 |
CashSettlAgentContactPhone |
N |
Applicable when SettlDeliveryType <172>=Free. For CIV - applicable when settlement is between fund manager and intermediary, investor etc.
|
492 |
PaymentMethod |
N |
|
476 |
PaymentRef |
N |
|
488 |
CardHolderName |
N |
|
489 |
CardNumber |
N |
|
503 |
CardStartDate |
N |
|
490 |
CardExpDate |
N |
|
491 |
CardIssNo |
N |
|
504 |
PaymentDate |
N |
|
505 |
PaymentRemitterID |
N |
|
<MessageTrailer> |
Y |
|