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Date of printing: 02/25/2022-10:41:38 ISO 20022 External Code Sets - Intro&History - Page: 1 of 261 Doc: document.xls Intro&History Source: ISO 20022.org Edition: 05 March 2018 Subject Inventory of External Code Sets - Required by (but external to) the ISO 20022 Message Schemas Publication date 05 March 2018 - 4Q2017 V01 Source ISO20022.org Details Description Content Revision History Based on 09 June 2009 Edition 17 Jan, 2010 03 Feb, 2010 26 April, 2010 draft 21 June, 2010 draft 16 August, 2010 Final 23 September, 2010 draft See this site for the latest version of these code sets. All external code sets required to fully use the ISO 20022 Message Schemas are included in this An additional 3 code sets (Bank Transaction Code) can be found separately on ISO20022.org. These codes are required by the messages as indicated in the following inventory sheets. They have been made external to the schema to allow for separate maintenance of messages and codes. The inventory sheets mention the latest versions of the messages. This document also includes the external code sets used by previous versions of messages. External code sets published in this spreadsheet are versioned at three levels: the spreadsheet itself has a publication date (see above), each code list within the spreadsheet has a publication date (see inventory sheets) and each individual code has a date of last update ('status date'). The updates since the last publication are highlighted in italic red. Maintenance/ Requests for New Values External code sets are maintained on a quarterly basis. Updated sets are published by end February, end of May, end of August and end of November. Additional releases may happen upon publication of new messages or new versions of existing messages using cexternal code sets. Requests for changes must be submitted using the form: "Change Request for the update of an External Code Set" template. Additions for CR0002, CR0005, CR0006, CR0007. 7 new external codes. Impacted code sets: LocalInstrument, Purpose, ReturnReason. Reformatted to include 'introduced date'. Revised proposed code value for CoreNoRefund per submitter request (CR0005, code set Draft 1Q2010 Codes CR0010, CR0011, CR0012, CR0016. Draft 2Q2010 Codes CR0015. Addition of MandateReason and VerificationReason code sets 1st and 2nd quarter 2010 CR's related to code requests including: CR0010 (StatusReason), CR0015 (ClearingSystemIdentification), and CR0011, CR0012, CR0016 (LocalInstrument) EPC values for MandateReason code set. 3Q2010 eval, CR0052

External code sets€¦ · XLS file · Web view · 2018-03-05Irish National Clearing Code Annuity Deposit Transaction is releted to a payment of deposit. ... AFP code=00 00 05

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Date of printing: 05/08/2023-19:48:47 ISO 20022 External Code Sets- Intro&History - Page: 1 of 241

Doc: document.xls Intro&History Source: ISO 20022.orgEdition: 05 March 2018

Subject Inventory of External Code Sets - Required by (but external to) the ISO 20022 Message Schemas

Publication date 05 March 2018 - 4Q2017 V01Source ISO20022.org

Details All external code sets required to fully use the ISO 20022 Message Schemas are included in this document but 3.

Description

Content

Revision History Based on 09 June 2009 Edition17 Jan, 2010

03 Feb, 201026 April, 2010 draft21 June, 2010 draft

16 August, 2010 Final

23 September, 2010 draft

See this site for the latest version of these code sets.

An additional 3 code sets (Bank Transaction Code) can be found separately on ISO20022.org.

These codes are required by the messages as indicated in the following inventory sheets. They have been made external to the schema to allow for separate maintenance of messages and codes. The inventory sheets mention the latest versions of the messages. This document also includes the external code sets used by previous versions of messages.

External code sets published in this spreadsheet are versioned at three levels: the spreadsheet itself has a publication date (see above), each code list within the spreadsheet has a publication date (see inventory sheets) and each individual code has a date of last update ('status date'). The updates since the last publication are highlighted in italic red.

Maintenance/ Requests for New Values

External code sets are maintained on a quarterly basis. Updated sets are published by end February, end of May, end of August and end of November. Additional releases may happen upon publication of new messages or new versions of existing messages using cexternal code sets. Requests for changes must be submitted using the form:

"Change Request for the update of an External Code Set" template.

Additions for CR0002, CR0005, CR0006, CR0007. 7 new external codes. Impacted code sets: LocalInstrument, Purpose, ReturnReason. Reformatted to include 'introduced date'. Revised proposed code value for CoreNoRefund per submitter request (CR0005, code set LocalInstrument).Draft 1Q2010 Codes CR0010, CR0011, CR0012, CR0016.Draft 2Q2010 Codes CR0015. Addition of MandateReason and VerificationReason code sets1st and 2nd quarter 2010 CR's related to code requests including: CR0010 (StatusReason), CR0015 (ClearingSystemIdentification), and CR0011, CR0012, CR0016 (LocalInstrument)EPC values for MandateReason code set. 3Q2010 eval, CR0052

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30 November, 2010 Final

6 December, 2010 Draft17 February, 2011 Final

31 May, 2011 Final

31 August, 2011 Final

2 December, 2011 Final

9 February, 2012 Final

31 May, 2012 Final

22 June, 2012 Final Revision of 1st quarter 2012 to correct 7-LocalInstrument code list to correct misaligned rows 16 July, 2012 Final

22 Oct, 2012 Final

3rd quarter 2010 including For the Payments SEG - CR0052 (MandateReason), For the Trade SEG - addition of 5 code sets (DocumentPurpose, DocumentType, Incoterms, InformationType, PackagingType) For the Securities SEG - addition of code set FinancialInstrumentIdentificationType

For the Payments SEG - CR0053, 54, 55, 56 approved in 4Q2010 evaluation4th quarter 2010 including for the Payments SEG - CR0053 and 55 (LocalInstrument), 54 and 56 (OrganisationIdentification) 1st quarter 2011 including for the Payments SEG - CR0058 (BalanceSubType), 59 (StatusReason), 63 (CategoryPurpose) and correction of a typo in an example of ClearingSystemIdentification2nd quarter 2011 including: For the Payments SEG - CR0073 impacting LocalInstrumentCode and For the Securities SEG - addition of code set TradeTransactionCondition

3rd quarter 2011 including: For the Payments SEG - CR0148, CR0149, CR0150 impacting LocalInstrumentCode and including PaySEG subgroup formatting revisions for clarity and improved information. Code sets will now consist of 3 sections: Identification, Information, and Status. Identification and Status are mandatory sections. Information is helpful information needed to clarify application of the codes.

4th quarter 2011 including: For the Payments SEG: CR0153 - Berlin Group - Purpose - 2 new codes for card settlement. CR0154 - Berlin Group - ReturnReason - 3 new codes. CR0060 - CGI - Local Instrument - 13 additional codes. CR0155 - CGI - Purpose Codes- 3 additional codes. CR0156 - CGI - Category Purpose - 2 additional codes.

1st quarter 2012 including: CR0170 - Berlin Group - Purpose - 1 new code for card settlement. 4 new code sets: 26-ChargeType ; 27-CashAccountType ; 28-DiscountAmountType ; 29-TaxAmountType

2nd quarter 2012 including:For the Payments SEG: CR0243 - EPC - ReturnReasonCode & StatusReasonCode. CR0244 - Bank Association of Slovenia - PurposeCode. Code sets 28-DiscountAmountType and 29-TaxAmountType: code values for the sets created as external code sets but unpopulated during the last message maintenance cycle.

3rd quarter 2012 including:For the Payments SEG: CR0247 - CFONB - ReturnReason; CR0248 - CFONB - ReversalReason; CR0250 - DSGV - Purpose; CR0251 - BerlinGroup - Purpose & CategoryPurpose. 4 new code sets: 30-CardTransactionCategory; 31-BillingBalanceType ; 32-BillingCompensationType ; 33-BillingRateIdentification

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7 Feb, 2013

7 May, 2013

29 Nov, 2013

2 Dec, 2013

16 Jan, 2014

21 Feb, 2014

17 April, 2014

13 June, 2014

31 July, 2014 2nd quarter 2014 errata related to CR0385 - Deutsche Bundesbank - 3-CashClearingSystem - Reinstatement of ELS28 November, 2014

26 December, 2014 3rd quarter CRs including for the Payments SEG:CR0458 - Association of German Banks - 3 new codes for 11-PurposeCR0462 - STUZZA - Update of 1 code in 4-CategoryPurpose

27 February, 2015

4th quarter 2012 including:For the Payments SEG: CR0242 - SIX - 16-StatusReason; CR0253 - Berling Group - 11-Purpose; code values for code sets 31-BillingBalanceType ; 32-BillingCompensationType ; 33-BillingRateIdentification to be used in the Bank Services Billing messageFor Cards SEG: new code set 34-RePresentmentReason for use in Berlin Group SupplementaryData extensionFor Trade SEG: 14 new code sets (35 to 48) for use in Demand Guarantees and Standby Letters of Credit messages

1st quarter 2013 including:For the Payments SEG: CR0255 - BCS Singapore, 11-Purpose; CR0257 - EPC, 13-ReturnReason.3rd quarter 2013 External Codes evaluation including:For the Payment SEG: CR308 - Deutscher Sparkassen- und Giroverband (German Savings Banks Association) , 11-Purpose, 1 new code.

For the Payments SEG: CR308 - Deutscher Sparkassen- und Giroverband (German Savings Banks Association) , 11-Purpose, correction of the name and definition of the RIMB code.4th quarter 2013 including:For the Payments SEG: CR0310 –Canadian Payments Assoc - 3-CashClearingSystem - 3 new codes including a replacement; CR0311 - German Banking Industry Committee - 11-Purpose - 1 new codeCR0312 – All German Bausparkassen and all 422 German Savings Banks and 8 regional banks (Landesbanken) - 11-Purpose - 1 new code + 1 code updated. CR0314 –SWIFT and ETDA Thailand-5-ClearingSystemIdentification - 1 new code, removal of the example column.

Publication of new message versions resulting from maintenance cycle 2013/2014 including:For the Trade SEG:CR0316 - Trade SEG - 21-Incoterms - Updated code set definitions

Addition of two new code sets used in the newly approved Stand-alone Remittance Advice messages: 49-DocumentLineType and 50-GarnishmentType2nd quarter 2014 including for the Payments SEG: CR0315 –Banco Central del Ecuador - 3-CashClearingSystem - 1 new codeCR0385 - Deutsche Bundesbank - 3-CashClearingSystem - 1 new code replaces (retires) an existing code.

3rd quarter CRs including for the Payments SEG:CR0456 - STUZZA - 1 new code for 16-StatusReasonCR0459 - Hungarian Banking Association (HBA) - 1 new code for 11-Purpose

4th quarter 2014 CR including for the Payments SEG:CR0464 - Equens - 1 new code for 3-CashClearingSystem

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13 March, 2015 Publication of new messages and new versions resulting from maintenance cycle 2014/2015 28 April, 2015 Introduction of a new code set: 51-TradeMarket submitted by the ASF (Association des Sociétés Françaises)

31 August, 2015 2nd quarter 2015 CRs including for the Payments SEG:CR0466 - SEB - 2 new codes for 4-CategoryPurposeCR0467 - Deutsche Bundesbank - 8 new codes for 11-PurposeCR0468 - Deustche Bundesbank - 2 new codes for 7-LocalInstrumentCodeCR0469 - Deutsche Bundesbank - 1 new code for 15-ServiceLevelCode

27 November, 2015 3rd quarter 2015 CRs including:for the Securities SEG: CR0526 - Bloomberg and ISITC - 3 new codes for 24-FinancialInstrumentIDTypeCodefor the Payments SEG: CR0532 - The Bank Association of Slovenia - 1 new code for 11-Purpose

01 April, 2016

for Payments SEG: CR0527 - ALMUS & ISITC - new codes - 11-PurposeCR0535 - APCA/SWIFT - 1 new code - 1-AccountIdentificationCR0536 - APCA/SWIFT - 1 new code - 3-CashClearingSystemCR0537 - APCA/SWIFT - 2 new codes - 13-ReturnReasonCR0538 - APCA/SWIFT - 7 new codes - 16-StatusReasonCR0539 - Dutch Payments Association - 4 new codes - 8-MandateReasonCR0540 - Dutch Payments Association - 4 new codes - 13-ReturnReasonCR0541 - Dutch Payments Association - 4 new codes - 16-StatusReasonCR0542 - SIX - Update of two codes - 5-ClearingSystemIdentification

22 April, 2016 4th quarter 2015 - V02 including: - Correction to new code set 53-ExternalValidationRuleIdentification (Name, Definition and Issuer columns) - Addition of external code sets used by the recently approved CTCCR messages - 54-ContractClosureReason - 55-ContractBalanceType - 56-ShipmentCondition

11 May, 2016 1st quarter 2016 - V01 including:

- 57- MarketArea1Code - 58- EffectiveDateParameter1Code - 59- SecuritiesPurpose1Code - 60- ReceivedReason1Code

CR0522 - GUF - 1 new code for the Bank Transaction Code setIntroduction of new code set: 52-MandateSetupReason

4th quarter 2015 new versions of Payments, Securities and Cards messages resulting from 2015/2016 maintenance cycle, new MMSR, CTCCR, Transparency of Holdings messages and CRs including:

- Addition of external code sets used by the recently approved Standing Settlement Instructions for Securities, Payments and FX messages

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- 61- AcceptedReason1Code - 62- PendingProcessingReason1Code - 63- RejectedReason1Code - CR0543 - STUZZA - 2 new codes - 11-Purpose - CR0544 - EPC - 1 new code - 7-LocalInstrument - CR0545 - Bank Association of Slovenia - 1 new code - 11-Purpose - CR0546 - SWIFT - 1 code modified - 3-CashClearingSystem - CR0547 - SWIFT - 1 new code - 3-CashClearingSystem

31 August, 2016 2nd quarter - V01 including: - CR0572 - The Clearing House - 1 new code - 3-CashClearingSystem - CR0573 - SIX - 1 code modified - 16-StatusReason - CR0638 - SWIFT & SABS - 5 new codes - 8-MandateReason

21 October, 2016 Addition of Invoice Tax Report messages, including 1 new code to 53-ExternalValidationRuleIdentification1Code18 November, 2016 3rd quarter - V01 including:

- CR0637 - SWIFT & SABS - 1 new code - 27-CashAccountType - CR0639 - SWIFT & SABS - 5 new codes - 11-Purpose - CR0640 - SWIFT & SABS - 2 new codes - 7-Localinstrument - CR0641 - SWIFT & SABS - 6 new codes - 13-ReturnReason - CR0643 - EPC - 10 new codes - 16-StatusReason

8 February, 2017 4th quarter 2016 - V01 including: - addition of pacs.028, pain.017 & pain.018 - new message versions resulting from maintenance cycle 2016/2017 - CR0647 - TCH - 1 new code - 66_CancellationReason - CR0648 - NPP AU - 1 updated code - 16-StatusReason - CR0649 - HKICL - 1 new code 9-OrganisationIdentification - CR0651 - HKICL - 1 new code - 27-CashAccountType - CR0652 - HKICL - 3 new codes - 7-LocalInstrument - CR0574 - new code set 64-PaymentTransactionStatus - CR0574 - new code set 65-PaymentGroupStatus - CR0635 & CR0647 - new code set 66-CancellationReason - pain.017/18 - new code set 67-MandateStatus - pain.017/18 - new code set 68-MandateSuspensionReason - CR0576 - new code set 69-AuthenticationChannel

31 May, 2017 1st quarter 2017 - V01 including: - CR0645 - The Berlin Group - 2 new codes - 11-Purpose - CR0646 - The Berlin Group - 2 new codes - 4-CategoryPurpose - CR0653 - TCH - 2 new codes - 64-PaymentTransactionStatus

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13 September, 2017 2nd quarter 2017 - V01 including:- new FX inventory sheet- new Financial Instruments and Transactions Regulatory Reporting 'auth' messages- new Cards 'caaa' message versions- CR0657 - Dutch Payments Association - 2 new codes - 7-LocalInstrument

30 November, 2017 3rd quarter 2017 - V01 including: - CR0704 - EPC - 1 new code and 1 definition update - 11-Purpose - CR0705 - EPC - 2 new codes - 66-CancellationReason - CR0706 - Dutch Payments Association - 3 new codes - 7-LocalInstrument

5 March, 2018 4th quarter - V01 including: - CR0654 - SWIFT - 1 new code - 64-PaymentTransactionStatus1Code and 65-PaymentGroupStatus1Code - CR0707 - Dutch Payments Association - Deactivation of 14 codes - 7-LocalInstrument - CR0708 - EPC - 5 new codes - 70-InvestigationExecutionConfirmation - Addition of new code sets:71-ExternalAgentInstruction1Code72-ExternalBalanceType1Code73-ExternalClaimNonReceiptRejection1Code74-ExternalCommunicationFormat1Code75-ExternalCreditLineType1Code76-ExternalEntryStatus1Code77-ExternalPaymentCancellationRejection1Code78-ExternalPaymentModificationRejection1Code79-ExternalPaymentCompensationReason1Code

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Reference External Code Set Name1 ExternalAccountIdentification1Code2 ExternalBalanceSubType1Code3 ExternalCashClearingSystem1Code4 ExternalCategoryPurpose1Code5 ExternalClearingSystemIdentification1Code6 ExternalFinancialInstitutionIdentification1Code7 ExternalLocalInstrument1Code8 ExternalMandateReason1Code9 ExternalOrganisationIdentification1Code

10 ExternalPersonIdentification1Code11 ExternalPurpose1Code12 ExternalReportingSource1Code13 ExternalReturnReason1Code14 ExternalReversalReason1Code15 ExternalServiceLevel1Code16 ExternalStatusReason1Code17 ExternalTechnicalInputChannel1Code18 ExternalVerificationReason1Code19 ExternalDocumentPurpose1Code20 ExternalDocumentType1Code21 ExternalIncoterms1Code22 ExternalInformationType1Code23 ExternalPackagingType1Code24 ExternalFinancialInstrumentIdentificationType1Code25 ExternalTradeTransactionCondition1Code26 ExternalChargeType1Code27 ExternalCashAccountType1Code28 ExternalDiscountAmountType1Code29 ExternalTaxAmountType1Code30 ExternalCardTransactionCategory1Code31 ExternalBillingBalanceType1Code32 ExternalBillingCompensationType1Code33 ExternalBillingRateIdentification1Code34 ExternalRePresentmentReason1Code35 ExternalChannel1Code36 ExternalDateFrequency1Code

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37 ExternalDocumentFormat1Code38 ExternalModelFormIdentification1Code39 ExternalNarrativeType1Code 40 ExternalRelativeTo1Code41 ExternalTypeOfParty1Code42 ExternalUnderlyingTradeTransactionType1Code43 ExternalUndertakingAmountType1Code44 ExternalUndertakingChargeType1Code45 ExternalUndertakingDocumentType1Code46 ExternalUndertakingDocumentType2Code47 ExternalUndertakingStatusCategory1Code48 ExternalUndertakingType1Code49 ExternalDocumentLineType1Code50 ExternalGarnishmentType1Code51 ExternalTradeMarket1Code52 ExternalMandateSetupReason1Code53 ExternalValidationRuleIdentification1Code54 ExternalContractClosureReason1Code55 ExternalContractBalanceType1Code56 ExternalShipmentCondition1Code57 ExternalMarketArea1Code58 ExternalEffectiveDateParameter1Code59 ExternalSecuritiesPurpose1Code60 ExternalReceivedReason1Code61 ExternalAcceptedReason1Code62 ExternalPendingProcessingReason1Code63 ExternalRejectedReason1Code64 ExternalPaymentTransactionStatus1Code65 ExternalPaymentGroupStatus1Code66 ExternalCancellationReason1Code67 ExternalMandateStatus1Code68 ExternalMandateSuspensionReason1Code69 ExternalAuthenticationChannel1Code70 ExternalInvestigationExecutionConfirmation1Code71 ExternalAgentInstruction1Code72 ExternalBalanceType1Code73 ExternalClaimNonReceiptRejection1Code

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74 ExternalCommunicationFormat1Code75 ExternalCreditLineType1Code76 ExternalEntryStatus1Code77 ExternalPaymentCancellationRejection1Code78 ExternalPaymentModificationRejection1Code79 ExternalPaymentCompensationReason1Code

N/A ExternalBankTransactionDomain1CodeN/A ExternalBankTransactionFamily1CodeN/A ExternalBankTransactionSubFamily1Code

Legend

Items in a code list should have 7 attributes:

1. The Bank Transaction Code documentation is available separately on ISO20022.org

1)     Code value2)     Name 3)     Definition 4)     Origin/requester 5)     Status 6)     Status date7)     Introduced date

Code Statuses are:

New: introduction of a new codeNew. Replaces code ABC: introduction of a new code to replace a code that has been retiredDefinition updated: definition of the code has been modifiedRetired. Replaced by ABC. Do not use: the code is not in use anymore

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External Code Set Name Impacted Message Message IdentifierExternalAcceptedReason1Code StandingSettlementInstructionStatusAdviceV01 reda.058.001.01ExternalAccountIdentification1Code AccountOpeningInstructionV06 acmt.001.001.06ExternalAccountIdentification1Code AccountOpeningInstructionV07 acmt.001.001.07ExternalAccountIdentification1Code AccountDetailsConfirmationV06 acmt.002.001.06ExternalAccountIdentification1Code AccountDetailsConfirmationV07 acmt.002.001.07ExternalAccountIdentification1Code AccountModificationInstructionV06 acmt.003.001.06ExternalAccountIdentification1Code AccountModificationInstructionV07 acmt.003.001.07ExternalAccountIdentification1Code AccountOpeningRequestV01 acmt.007.001.01ExternalAccountIdentification1Code AccountOpeningRequestV02 acmt.007.001.02ExternalAccountIdentification1Code AccountOpeningAmendmentRequestV01 acmt.008.001.01ExternalAccountIdentification1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalAccountIdentification1Code AccountOpeningAdditionalInformationRequestV01 acmt.009.001.01ExternalAccountIdentification1Code AccountOpeningAdditionalInformationRequestV02 acmt.009.001.02ExternalAccountIdentification1Code AccountRequestAcknowledgementV01 acmt.010.001.01ExternalAccountIdentification1Code AccountRequestAcknowledgementV02 acmt.010.001.02ExternalAccountIdentification1Code AccountRequestRejectionV01 acmt.011.001.01ExternalAccountIdentification1Code AccountRequestRejectionV02 acmt.011.001.02ExternalAccountIdentification1Code AccountAdditionalInformationRequestV01 acmt.012.001.01ExternalAccountIdentification1Code AccountAdditionalInformationRequestV02 acmt.012.001.02ExternalAccountIdentification1Code AccountReportRequestV01 acmt.013.001.01ExternalAccountIdentification1Code AccountReportRequestV02 acmt.013.001.02ExternalAccountIdentification1Code AccountReportV01 acmt.014.001.01ExternalAccountIdentification1Code AccountReportV02 acmt.014.001.02ExternalAccountIdentification1Code AccountExcludedMandateMaintenanceRequestV01 acmt.015.001.01ExternalAccountIdentification1Code AccountExcludedMandateMaintenanceRequestV02 acmt.015.001.02ExternalAccountIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV01 acmt.016.001.01ExternalAccountIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV02 acmt.016.001.02ExternalAccountIdentification1Code AccountMandateMaintenanceRequestV01 acmt.017.001.01ExternalAccountIdentification1Code AccountMandateMaintenanceRequestV02 acmt.017.001.02ExternalAccountIdentification1Code AccountMandateMaintenanceAmendmentRequestV01 acmt.018.001.01ExternalAccountIdentification1Code AccountMandateMaintenanceAmendmentRequestV02 acmt.018.001.02ExternalAccountIdentification1Code AccountClosingRequestV01 acmt.019.001.01ExternalAccountIdentification1Code AccountClosingRequestV02 acmt.019.001.02ExternalAccountIdentification1Code AccountClosingAmendmentRequestV01 acmt.020.001.01ExternalAccountIdentification1Code AccountClosingAmendmentRequestV02 acmt.020.001.02ExternalAccountIdentification1Code AccountClosingAdditionalInformationRequestV01 acmt.021.001.01ExternalAccountIdentification1Code AccountClosingAdditionalInformationRequestV02 acmt.021.001.02

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ExternalAccountIdentification1Code IdentificationModificationAdviceV01 acmt.022.001.01ExternalAccountIdentification1Code IdentificationModificationAdviceV02 acmt.022.001.02ExternalAccountIdentification1Code IdentificationVerificationRequestV01 acmt.023.001.01ExternalAccountIdentification1Code IdentificationVerificationRequestV02 acmt.023.001.02ExternalAccountIdentification1Code IdentificationVerificationReportV01 acmt.024.001.01ExternalAccountIdentification1Code IdentificationVerificationReportV02 acmt.024.001.02ExternalAccountIdentification1Code InformationRequestOpeningV01 auth.001.001.01ExternalAccountIdentification1Code InformationRequestResponseV01 auth.002.001.01ExternalAccountIdentification1Code ContractRegistrationRequestV01 auth.018.001.01ExternalAccountIdentification1Code ContractRegistrationConfirmationV01 auth.019.001.01ExternalAccountIdentification1Code ContractRegistrationAmendmentRequestV01 auth.021.001.01ExternalAccountIdentification1Code ContractRegistrationStatementV01 auth.022.001.01ExternalAccountIdentification1Code PaymentRegulatoryInformationNotificationV01 auth.024.001.01ExternalAccountIdentification1Code RequestToModifyPaymentV03 camt.007.002.03ExternalAccountIdentification1Code UnableToApplyV06 camt.026.001.06ExternalAccountIdentification1Code ClaimNonReceiptV03 camt.027.001.03ExternalAccountIdentification1Code ClaimNonReceiptV04 camt.027.001.04ExternalAccountIdentification1Code ClaimNonReceiptV05 camt.027.001.05ExternalAccountIdentification1Code ClaimNonReceiptV06 camt.027.001.06ExternalAccountIdentification1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalAccountIdentification1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalAccountIdentification1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalAccountIdentification1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalAccountIdentification1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalAccountIdentification1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalAccountIdentification1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalAccountIdentification1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalAccountIdentification1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalAccountIdentification1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalAccountIdentification1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalAccountIdentification1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalAccountIdentification1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalAccountIdentification1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalAccountIdentification1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalAccountIdentification1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalAccountIdentification1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalAccountIdentification1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalAccountIdentification1Code BankToCustomerAccountReportV07 camt.052.001.07

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ExternalAccountIdentification1Code BankToCustomerStatementV02 camt.053.001.02ExternalAccountIdentification1Code BankToCustomerStatementV03 camt.053.001.03ExternalAccountIdentification1Code BankToCustomerStatementV04 camt.053.001.04ExternalAccountIdentification1Code BankToCustomerStatementV05 camt.053.001.05ExternalAccountIdentification1Code BankToCustomerStatementV06 camt.053.001.06ExternalAccountIdentification1Code BankToCustomerStatementV07 camt.053.001.07ExternalAccountIdentification1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalAccountIdentification1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalAccountIdentification1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalAccountIdentification1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalAccountIdentification1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalAccountIdentification1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalAccountIdentification1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalAccountIdentification1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalAccountIdentification1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalAccountIdentification1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalAccountIdentification1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalAccountIdentification1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalAccountIdentification1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalAccountIdentification1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalAccountIdentification1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalAccountIdentification1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalAccountIdentification1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalAccountIdentification1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalAccountIdentification1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalAccountIdentification1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalAccountIdentification1Code NotificationToReceiveV02 camt.057.001.02ExternalAccountIdentification1Code NotificationToReceiveV03 camt.057.001.03ExternalAccountIdentification1Code NotificationToReceiveV04 camt.057.001.04ExternalAccountIdentification1Code NotificationToReceiveV05 camt.057.001.05ExternalAccountIdentification1Code NotificationToReceiveCancellationAdviceV02 camt.058.001.02ExternalAccountIdentification1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalAccountIdentification1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalAccountIdentification1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalAccountIdentification1Code NotificationToReceiveStatusReportV02 camt.059.001.02ExternalAccountIdentification1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalAccountIdentification1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalAccountIdentification1Code NotificationToReceiveStatusReportV05 camt.059.001.05

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ExternalAccountIdentification1Code AccountReportingRequestV02 camt.060.001.02ExternalAccountIdentification1Code AccountReportingRequestV03 camt.060.001.03ExternalAccountIdentification1Code AccountReportingRequestV04 camt.060.001.04ExternalAccountIdentification1Code BankServicesBillingStatementV01 camt.086.001.01ExternalAccountIdentification1Code BankServicesBillingStatementV02 camt.086.001.02ExternalAccountIdentification1Code RequestToModifyPaymentV01 camt.087.001.01ExternalAccountIdentification1Code RequestToModifyPaymentV02 camt.087.001.02ExternalAccountIdentification1Code RequestToModifyPaymentV03 camt.087.001.03ExternalAccountIdentification1Code RequestToModifyPaymentV04 camt.087.001.04ExternalAccountIdentification1Code RequestToModifyPaymentV05 camt.087.001.05ExternalAccountIdentification1Code CollateralProposalV03 colr.007.001.03ExternalAccountIdentification1Code CollateralProposalV04 colr.007.001.04ExternalAccountIdentification1Code CollateralProposalV05 colr.007.001.05ExternalAccountIdentification1Code CollateralProposalResponseV03 colr.008.001.03ExternalAccountIdentification1Code CollateralProposalResponseV04 colr.008.001.04ExternalAccountIdentification1Code CollateralProposalResponseV05 colr.008.001.05ExternalAccountIdentification1Code CollateralSubstitutionRequestV03 colr.010.001.03ExternalAccountIdentification1Code CollateralSubstitutionRequestV04 colr.010.001.04ExternalAccountIdentification1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalAccountIdentification1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalAccountIdentification1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalAccountIdentification1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalAccountIdentification1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalAccountIdentification1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalAccountIdentification1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalAccountIdentification1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalAccountIdentification1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalAccountIdentification1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalAccountIdentification1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalAccountIdentification1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalAccountIdentification1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalAccountIdentification1Code PaymentReturnV02 pacs.004.001.02ExternalAccountIdentification1Code PaymentReturnV03 pacs.004.001.03ExternalAccountIdentification1Code PaymentReturnV04 pacs.004.001.04ExternalAccountIdentification1Code PaymentReturnV05 pacs.004.001.05ExternalAccountIdentification1Code PaymentReturnV06 pacs.004.001.06ExternalAccountIdentification1Code PaymentReturnV07 pacs.004.001.07ExternalAccountIdentification1Code PaymentReturnV08 pacs.004.001.08

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ExternalAccountIdentification1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalAccountIdentification1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalAccountIdentification1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalAccountIdentification1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalAccountIdentification1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalAccountIdentification1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalAccountIdentification1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalAccountIdentification1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalAccountIdentification1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalAccountIdentification1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalAccountIdentification1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalAccountIdentification1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalAccountIdentification1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalAccountIdentification1Code FinancialInstitutionCreditTransferV02 pacs.009.001.02ExternalAccountIdentification1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalAccountIdentification1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalAccountIdentification1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalAccountIdentification1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalAccountIdentification1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalAccountIdentification1Code FinancialInstitutionDirectDebitV02 pacs.010.001.02ExternalAccountIdentification1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalAccountIdentification1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalAccountIdentification1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalAccountIdentification1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalAccountIdentification1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalAccountIdentification1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalAccountIdentification1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalAccountIdentification1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalAccountIdentification1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalAccountIdentification1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalAccountIdentification1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalAccountIdentification1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalAccountIdentification1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalAccountIdentification1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalAccountIdentification1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalAccountIdentification1Code CustomerPaymentReversalV02 pain.007.001.02ExternalAccountIdentification1Code CustomerPaymentReversalV03 pain.007.001.03ExternalAccountIdentification1Code CustomerPaymentReversalV04 pain.007.001.04

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ExternalAccountIdentification1Code CustomerPaymentReversalV05 pain.007.001.05ExternalAccountIdentification1Code CustomerPaymentReversalV06 pain.007.001.06ExternalAccountIdentification1Code CustomerPaymentReversalV07 pain.007.001.07ExternalAccountIdentification1Code CustomerPaymentReversalV08 pain.007.001.08ExternalAccountIdentification1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalAccountIdentification1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalAccountIdentification1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalAccountIdentification1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalAccountIdentification1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalAccountIdentification1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalAccountIdentification1Code MandateInitiationRequestV01 pain.009.001.01ExternalAccountIdentification1Code MandateInitiationRequestV02 pain.009.001.02ExternalAccountIdentification1Code MandateInitiationRequestV03 pain.009.001.03ExternalAccountIdentification1Code MandateInitiationRequestV04 pain.009.001.04ExternalAccountIdentification1Code MandateInitiationRequestV05 pain.009.001.05ExternalAccountIdentification1Code MandateAmendmentRequestV01 pain.010.001.01ExternalAccountIdentification1Code MandateAmendmentRequestV02 pain.010.001.02ExternalAccountIdentification1Code MandateAmendmentRequestV03 pain.010.001.03ExternalAccountIdentification1Code MandateAmendmentRequestV04 pain.010.001.04ExternalAccountIdentification1Code MandateAmendmentRequestV05 pain.010.001.05ExternalAccountIdentification1Code MandateCancellationRequestV01 pain.011.001.01ExternalAccountIdentification1Code MandateCancellationRequestV02 pain.011.001.02ExternalAccountIdentification1Code MandateCancellationRequestV03 pain.011.001.03ExternalAccountIdentification1Code MandateCancellationRequestV04 pain.011.001.04ExternalAccountIdentification1Code MandateCancellationRequestV05 pain.011.001.05ExternalAccountIdentification1Code MandateAcceptanceReportV01 pain.012.001.01ExternalAccountIdentification1Code MandateAcceptanceReportV02 pain.012.001.02ExternalAccountIdentification1Code MandateAcceptanceReportV03 pain.012.001.03ExternalAccountIdentification1Code MandateAcceptanceReportV04 pain.012.001.04ExternalAccountIdentification1Code MandateAcceptanceReportV05 pain.012.001.05ExternalAccountIdentification1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalAccountIdentification1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalAccountIdentification1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalAccountIdentification1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalAccountIdentification1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalAccountIdentification1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalAccountIdentification1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalAccountIdentification1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02

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ExternalAccountIdentification1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalAccountIdentification1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalAccountIdentification1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalAccountIdentification1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalAccountIdentification1Code MandateCopyRequestV01 pain.017.001.01ExternalAccountIdentification1Code MandateSuspensionRequestV01 pain.018.001.01ExternalAccountIdentification1Code RemittanceAdviceV01 remt.001.001.01ExternalAccountIdentification1Code RemittanceAdviceV02 remt.001.001.02ExternalAccountIdentification1Code RemittanceAdviceV03 remt.001.001.03ExternalAccountIdentification1Code DefaultFundContributionReportV02 secl.006.001.02ExternalAccountIdentification1Code PortfolioTransferInstructionV07 sese.012.001.07ExternalAccountIdentification1Code PortfolioTransferInstructionV08 sese.012.001.08ExternalAccountIdentification1Code PortfolioTransferConfirmationV07 sese.013.001.07ExternalAccountIdentification1Code PortfolioTransferConfirmationV08 sese.013.001.08ExternalAccountIdentification1Code PortfolioTransferCancellationRequestV07 sese.014.001.07ExternalAccountIdentification1Code RedemptionBulkOrderV04 setr.001.001.04ExternalAccountIdentification1Code RedemptionBulkOrderConfirmationV04 setr.003.001.04ExternalAccountIdentification1Code RedemptionOrderV04 setr.004.001.04ExternalAccountIdentification1Code RedemptionOrderConfirmationV04 setr.006.001.04ExternalAccountIdentification1Code SubscriptionBulkOrderV04 setr.007.001.04ExternalAccountIdentification1Code SubscriptionBulkOrderConfirmationV04 setr.009.001.04ExternalAccountIdentification1Code SubscriptionOrderV04 setr.010.001.04ExternalAccountIdentification1Code SubscriptionOrderConfirmationV04 setr.012.001.04ExternalAccountIdentification1Code SwitchOrderV04 setr.013.001.04ExternalAccountIdentification1Code SwitchOrderConfirmationV04 setr.015.001.04ExternalAccountIdentification1Code PaymentSD1V01 supl.017.001.01ExternalAccountIdentification1Code InformationResponseSD1V01 supl.027.001.01ExternalAccountIdentification1Code FinancialInvoiceV01 tsin.004.001.01ExternalAccountIdentification1Code UndertakingApplicationV01 tsin.005.001.01ExternalAccountIdentification1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalAccountIdentification1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalAccountIdentification1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalAccountIdentification1Code PartyRegistrationAndGuaranteeRequestV01 tsin.009.001.01ExternalAccountIdentification1Code PartyRegistrationAndGuaranteeStatusV01 tsin.010.001.01ExternalAccountIdentification1Code PartyRegistrationAndGuaranteeNotificationV01 tsin.011.001.01ExternalAccountIdentification1Code PartyRegistrationAndGuaranteeAcknowledgementV01 tsin.012.001.01ExternalAccountIdentification1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalAccountIdentification1Code BaselineAmendmentRequestV04 tsmt.009.001.04

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ExternalAccountIdentification1Code BaselineAmendmentRequestV05 tsmt.009.001.05ExternalAccountIdentification1Code BaselineReSubmissionV04 tsmt.012.001.04ExternalAccountIdentification1Code BaselineReSubmissionV05 tsmt.012.001.05ExternalAccountIdentification1Code DataSetSubmissionV04 tsmt.014.001.04ExternalAccountIdentification1Code DataSetSubmissionV05 tsmt.014.001.05ExternalAccountIdentification1Code ForwardDataSetSubmissionReportV04 tsmt.017.001.04ExternalAccountIdentification1Code ForwardDataSetSubmissionReportV05 tsmt.017.001.05ExternalAccountIdentification1Code FullPushThroughReportV04 tsmt.018.001.04ExternalAccountIdentification1Code FullPushThroughReportV05 tsmt.018.001.05ExternalAccountIdentification1Code InitialBaselineSubmissionV04 tsmt.019.001.04ExternalAccountIdentification1Code InitialBaselineSubmissionV05 tsmt.019.001.05ExternalAccountIdentification1Code IntentToPayNotificationV02 tsmt.044.001.02ExternalAccountIdentification1Code ForwardIntentToPayNotificationV02 tsmt.045.001.02ExternalAccountIdentification1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalAccountIdentification1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalAccountIdentification1Code UndertakingDemandV01 tsrv.013.001.01ExternalAgentInstruction1Code ClaimNonReceiptV06 camt.027.001.06ExternalAgentInstruction1Code RequestToModifyPaymentV05 camt.087.001.05ExternalAuthenticationChannel1Code MandateInitiationRequestV05 pain.009.001.05ExternalAuthenticationChannel1Code MandateAmendmentRequestV05 pain.010.001.05ExternalAuthenticationChannel1Code MandateCancellationRequestV05 pain.011.001.05ExternalAuthenticationChannel1Code MandateAcceptanceReportV05 pain.012.001.05ExternalAuthenticationChannel1Code MandateCopyRequestV01 pain.017.001.01ExternalAuthenticationChannel1Code MandateSuspensionRequestV01 pain.018.001.01ExternalBalanceSubType1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalBalanceSubType1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalBalanceSubType1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalBalanceSubType1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalBalanceSubType1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalBalanceSubType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalBalanceSubType1Code BankToCustomerStatementV02 camt.053.001.02ExternalBalanceSubType1Code BankToCustomerStatementV03 camt.053.001.03ExternalBalanceSubType1Code BankToCustomerStatementV04 camt.053.001.04ExternalBalanceSubType1Code BankToCustomerStatementV05 camt.053.001.05ExternalBalanceSubType1Code BankToCustomerStatementV06 camt.053.001.06ExternalBalanceSubType1Code BankToCustomerStatementV07 camt.053.001.07ExternalBalanceSubType1Code AccountReportingRequestV02 camt.060.001.02ExternalBalanceSubType1Code AccountReportingRequestV03 camt.060.001.03

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ExternalBalanceSubType1Code AccountReportingRequestV04 camt.060.001.04ExternalBalanceType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalBalanceType1Code BankToCustomerStatementV07 camt.053.001.07ExternalBalanceType1Code AccountReportingRequestV04 camt.060.001.04ExternalBankTransactionDomain1Code AccountOpeningRequestV01 acmt.007.001.01ExternalBankTransactionDomain1Code AccountOpeningRequestV02 acmt.007.001.02ExternalBankTransactionDomain1Code AccountOpeningAmendmentRequestV01 acmt.008.001.01ExternalBankTransactionDomain1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalBankTransactionDomain1Code AccountReportV01 acmt.014.001.01ExternalBankTransactionDomain1Code AccountReportV02 acmt.014.001.02ExternalBankTransactionDomain1Code AccountMandateMaintenanceRequestV01 acmt.017.001.01ExternalBankTransactionDomain1Code AccountMandateMaintenanceRequestV02 acmt.017.001.02ExternalBankTransactionDomain1Code AccountMandateMaintenanceAmendmentRequestV01 acmt.018.001.01ExternalBankTransactionDomain1Code AccountMandateMaintenanceAmendmentRequestV02 acmt.018.001.02ExternalBankTransactionDomain1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalBankTransactionDomain1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalBankTransactionDomain1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalBankTransactionDomain1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalBankTransactionDomain1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalBankTransactionDomain1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalBankTransactionDomain1Code BankToCustomerStatementV02 camt.053.001.02ExternalBankTransactionDomain1Code BankToCustomerStatementV03 camt.053.001.03ExternalBankTransactionDomain1Code BankToCustomerStatementV04 camt.053.001.04ExternalBankTransactionDomain1Code BankToCustomerStatementV05 camt.053.001.05ExternalBankTransactionDomain1Code BankToCustomerStatementV06 camt.053.001.06ExternalBankTransactionDomain1Code BankToCustomerStatementV07 camt.053.001.07ExternalBankTransactionDomain1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalBankTransactionDomain1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalBankTransactionDomain1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalBankTransactionDomain1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalBankTransactionDomain1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalBankTransactionDomain1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalBankTransactionDomain1Code BankServicesBillingStatementV02 camt.086.001.02ExternalBankTransactionFamily1Code AccountOpeningRequestV01 acmt.007.001.01ExternalBankTransactionFamily1Code AccountOpeningRequestV02 acmt.007.001.02ExternalBankTransactionFamily1Code AccountOpeningAmendmentRequestV01 acmt.008.001.01ExternalBankTransactionFamily1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalBankTransactionFamily1Code AccountReportV01 acmt.014.001.01

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ExternalBankTransactionFamily1Code AccountReportV02 acmt.014.001.02ExternalBankTransactionFamily1Code AccountMandateMaintenanceRequestV01 acmt.017.001.01ExternalBankTransactionFamily1Code AccountMandateMaintenanceRequestV02 acmt.017.001.02ExternalBankTransactionFamily1Code AccountMandateMaintenanceAmendmentRequestV01 acmt.018.001.01ExternalBankTransactionFamily1Code AccountMandateMaintenanceAmendmentRequestV02 acmt.018.001.02ExternalBankTransactionFamily1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalBankTransactionFamily1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalBankTransactionFamily1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalBankTransactionFamily1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalBankTransactionFamily1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalBankTransactionFamily1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalBankTransactionFamily1Code BankToCustomerStatementV02 camt.053.001.02ExternalBankTransactionFamily1Code BankToCustomerStatementV03 camt.053.001.03ExternalBankTransactionFamily1Code BankToCustomerStatementV04 camt.053.001.04ExternalBankTransactionFamily1Code BankToCustomerStatementV05 camt.053.001.05ExternalBankTransactionFamily1Code BankToCustomerStatementV06 camt.053.001.06ExternalBankTransactionFamily1Code BankToCustomerStatementV07 camt.053.001.07ExternalBankTransactionFamily1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalBankTransactionFamily1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalBankTransactionFamily1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalBankTransactionFamily1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalBankTransactionFamily1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalBankTransactionFamily1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalBankTransactionFamily1Code BankServicesBillingStatementV02 camt.086.001.02ExternalBankTransactionSubFamily1Code AccountOpeningRequestV01 acmt.007.001.01ExternalBankTransactionSubFamily1Code AccountOpeningRequestV02 acmt.007.001.02ExternalBankTransactionSubFamily1Code AccountOpeningAmendmentRequestV01 acmt.008.001.01ExternalBankTransactionSubFamily1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalBankTransactionSubFamily1Code AccountReportV01 acmt.014.001.01ExternalBankTransactionSubFamily1Code AccountReportV02 acmt.014.001.02ExternalBankTransactionSubFamily1Code AccountMandateMaintenanceRequestV01 acmt.017.001.01ExternalBankTransactionSubFamily1Code AccountMandateMaintenanceRequestV02 acmt.017.001.02ExternalBankTransactionSubFamily1Code AccountMandateMaintenanceAmendmentRequestV01 acmt.018.001.01ExternalBankTransactionSubFamily1Code AccountMandateMaintenanceAmendmentRequestV02 acmt.018.001.02ExternalBankTransactionSubFamily1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalBankTransactionSubFamily1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalBankTransactionSubFamily1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalBankTransactionSubFamily1Code BankToCustomerAccountReportV05 camt.052.001.05

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ExternalBankTransactionSubFamily1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalBankTransactionSubFamily1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalBankTransactionSubFamily1Code BankToCustomerStatementV02 camt.053.001.02ExternalBankTransactionSubFamily1Code BankToCustomerStatementV03 camt.053.001.03ExternalBankTransactionSubFamily1Code BankToCustomerStatementV04 camt.053.001.04ExternalBankTransactionSubFamily1Code BankToCustomerStatementV05 camt.053.001.05ExternalBankTransactionSubFamily1Code BankToCustomerStatementV06 camt.053.001.06ExternalBankTransactionSubFamily1Code BankToCustomerStatementV07 camt.053.001.07ExternalBankTransactionSubFamily1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalBankTransactionSubFamily1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalBankTransactionSubFamily1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalBankTransactionSubFamily1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalBankTransactionSubFamily1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalBankTransactionSubFamily1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalBankTransactionSubFamily1Code BankServicesBillingStatementV02 camt.086.001.02ExternalBillingBalanceType1Code BankServicesBillingStatementV01 camt.086.001.01ExternalBillingBalanceType1Code BankServicesBillingStatementV02 camt.086.001.02ExternalBillingCompensationType1Code BankServicesBillingStatementV01 camt.086.001.01ExternalBillingCompensationType1Code BankServicesBillingStatementV02 camt.086.001.02ExternalBillingRateIdentification1Code BankServicesBillingStatementV01 camt.086.001.01ExternalBillingRateIdentification1Code BankServicesBillingStatementV02 camt.086.001.02ExternalCancellationReason1Code DebitAuthorisationRequestV05 camt.037.001.05ExternalCancellationReason1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalCancellationReason1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalCancellationReason1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalCancellationReason1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalCancellationReason1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalCardTransactionCategory1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalCardTransactionCategory1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalCardTransactionCategory1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalCardTransactionCategory1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalCardTransactionCategory1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalCardTransactionCategory1Code BankToCustomerStatementV03 camt.053.001.03ExternalCardTransactionCategory1Code BankToCustomerStatementV04 camt.053.001.04ExternalCardTransactionCategory1Code BankToCustomerStatementV05 camt.053.001.05ExternalCardTransactionCategory1Code BankToCustomerStatementV06 camt.053.001.06ExternalCardTransactionCategory1Code BankToCustomerStatementV07 camt.053.001.07ExternalCardTransactionCategory1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03

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ExternalCardTransactionCategory1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalCardTransactionCategory1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalCardTransactionCategory1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalCardTransactionCategory1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalCashAccountType1Code AccountOpeningRequestV02 acmt.007.001.02ExternalCashAccountType1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalCashAccountType1Code AccountOpeningAdditionalInformationRequestV02 acmt.009.001.02ExternalCashAccountType1Code AccountReportV02 acmt.014.001.02ExternalCashAccountType1Code AccountExcludedMandateMaintenanceRequestV02 acmt.015.001.02ExternalCashAccountType1Code AccountExcludedMandateMaintenanceAmendmentRequestV02 acmt.016.001.02ExternalCashAccountType1Code InformationRequestOpeningV01 auth.001.001.01ExternalCashAccountType1Code InformationRequestResponseV01 auth.002.001.01ExternalCashAccountType1Code ContractRegistrationStatementV01 auth.022.001.01ExternalCashAccountType1Code PaymentRegulatoryInformationNotificationV01 auth.024.001.01ExternalCashAccountType1Code UnableToApplyV06 camt.026.001.06ExternalCashAccountType1Code ClaimNonReceiptV04 camt.027.001.04ExternalCashAccountType1Code ClaimNonReceiptV05 camt.027.001.05ExternalCashAccountType1Code ClaimNonReceiptV06 camt.027.001.06ExternalCashAccountType1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalCashAccountType1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalCashAccountType1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalCashAccountType1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalCashAccountType1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalCashAccountType1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalCashAccountType1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalCashAccountType1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalCashAccountType1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalCashAccountType1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalCashAccountType1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalCashAccountType1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalCashAccountType1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalCashAccountType1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalCashAccountType1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalCashAccountType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalCashAccountType1Code BankToCustomerStatementV03 camt.053.001.03ExternalCashAccountType1Code BankToCustomerStatementV04 camt.053.001.04ExternalCashAccountType1Code BankToCustomerStatementV05 camt.053.001.05ExternalCashAccountType1Code BankToCustomerStatementV06 camt.053.001.06

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ExternalCashAccountType1Code BankToCustomerStatementV07 camt.053.001.07ExternalCashAccountType1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalCashAccountType1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalCashAccountType1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalCashAccountType1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalCashAccountType1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalCashAccountType1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalCashAccountType1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalCashAccountType1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalCashAccountType1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalCashAccountType1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalCashAccountType1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalCashAccountType1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalCashAccountType1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalCashAccountType1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalCashAccountType1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalCashAccountType1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalCashAccountType1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalCashAccountType1Code NotificationToReceiveV03 camt.057.001.03ExternalCashAccountType1Code NotificationToReceiveV04 camt.057.001.04ExternalCashAccountType1Code NotificationToReceiveV05 camt.057.001.05ExternalCashAccountType1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalCashAccountType1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalCashAccountType1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalCashAccountType1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalCashAccountType1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalCashAccountType1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalCashAccountType1Code AccountReportingRequestV03 camt.060.001.03ExternalCashAccountType1Code AccountReportingRequestV04 camt.060.001.04ExternalCashAccountType1Code BankServicesBillingStatementV02 camt.086.001.02ExternalCashAccountType1Code RequestToModifyPaymentV01 camt.087.001.01ExternalCashAccountType1Code RequestToModifyPaymentV02 camt.087.001.02ExternalCashAccountType1Code RequestToModifyPaymentV03 camt.087.001.03ExternalCashAccountType1Code RequestToModifyPaymentV04 camt.087.001.04ExternalCashAccountType1Code RequestToModifyPaymentV05 camt.087.001.05ExternalCashAccountType1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalCashAccountType1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalCashAccountType1Code FIToFIPaymentStatusReportV06 pacs.002.001.06

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ExternalCashAccountType1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalCashAccountType1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalCashAccountType1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalCashAccountType1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalCashAccountType1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalCashAccountType1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalCashAccountType1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalCashAccountType1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalCashAccountType1Code PaymentReturnV03 pacs.004.001.03ExternalCashAccountType1Code PaymentReturnV04 pacs.004.001.04ExternalCashAccountType1Code PaymentReturnV05 pacs.004.001.05ExternalCashAccountType1Code PaymentReturnV06 pacs.004.001.06ExternalCashAccountType1Code PaymentReturnV07 pacs.004.001.07ExternalCashAccountType1Code PaymentReturnV08 pacs.004.001.08ExternalCashAccountType1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalCashAccountType1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalCashAccountType1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalCashAccountType1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalCashAccountType1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalCashAccountType1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalCashAccountType1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalCashAccountType1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalCashAccountType1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalCashAccountType1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalCashAccountType1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalCashAccountType1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalCashAccountType1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalCashAccountType1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalCashAccountType1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalCashAccountType1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalCashAccountType1Code FinancialInstitutionDirectDebitV02 pacs.010.001.02ExternalCashAccountType1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalCashAccountType1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalCashAccountType1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalCashAccountType1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalCashAccountType1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalCashAccountType1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalCashAccountType1Code CustomerCreditTransferInitiationV08 pain.001.001.08

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ExternalCashAccountType1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalCashAccountType1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalCashAccountType1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalCashAccountType1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalCashAccountType1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalCashAccountType1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalCashAccountType1Code CustomerPaymentReversalV03 pain.007.001.03ExternalCashAccountType1Code CustomerPaymentReversalV04 pain.007.001.04ExternalCashAccountType1Code CustomerPaymentReversalV05 pain.007.001.05ExternalCashAccountType1Code CustomerPaymentReversalV06 pain.007.001.06ExternalCashAccountType1Code CustomerPaymentReversalV07 pain.007.001.07ExternalCashAccountType1Code CustomerPaymentReversalV08 pain.007.001.08ExternalCashAccountType1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalCashAccountType1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalCashAccountType1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalCashAccountType1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalCashAccountType1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalCashAccountType1Code MandateInitiationRequestV02 pain.009.001.02ExternalCashAccountType1Code MandateInitiationRequestV03 pain.009.001.03ExternalCashAccountType1Code MandateInitiationRequestV04 pain.009.001.04ExternalCashAccountType1Code MandateInitiationRequestV05 pain.009.001.05ExternalCashAccountType1Code MandateAmendmentRequestV02 pain.010.001.02ExternalCashAccountType1Code MandateAmendmentRequestV03 pain.010.001.03ExternalCashAccountType1Code MandateAmendmentRequestV04 pain.010.001.04ExternalCashAccountType1Code MandateAmendmentRequestV05 pain.010.001.05ExternalCashAccountType1Code MandateCancellationRequestV02 pain.011.001.02ExternalCashAccountType1Code MandateCancellationRequestV03 pain.011.001.03ExternalCashAccountType1Code MandateCancellationRequestV04 pain.011.001.04ExternalCashAccountType1Code MandateCancellationRequestV05 pain.011.001.05ExternalCashAccountType1Code MandateAcceptanceReportV02 pain.012.001.02ExternalCashAccountType1Code MandateAcceptanceReportV03 pain.012.001.03ExternalCashAccountType1Code MandateAcceptanceReportV04 pain.012.001.04ExternalCashAccountType1Code MandateAcceptanceReportV05 pain.012.001.05ExternalCashAccountType1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalCashAccountType1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalCashAccountType1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalCashAccountType1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalCashAccountType1Code CreditorPaymentActivationRequestV06 pain.013.001.06

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ExternalCashAccountType1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalCashAccountType1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalCashAccountType1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalCashAccountType1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalCashAccountType1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalCashAccountType1Code MandateCopyRequestV01 pain.017.001.01ExternalCashAccountType1Code MandateSuspensionRequestV01 pain.018.001.01ExternalCashAccountType1Code RemittanceAdviceV01 remt.001.001.01ExternalCashAccountType1Code RemittanceAdviceV02 remt.001.001.02ExternalCashAccountType1Code RemittanceAdviceV03 remt.001.001.03ExternalCashAccountType1Code PaymentSD1V01 supl.017.001.01ExternalCashAccountType1Code BaselineAmendmentRequestV04 tsmt.009.001.04ExternalCashAccountType1Code BaselineAmendmentRequestV05 tsmt.009.001.05ExternalCashAccountType1Code BaselineReSubmissionV04 tsmt.012.001.04ExternalCashAccountType1Code BaselineReSubmissionV05 tsmt.012.001.05ExternalCashAccountType1Code DataSetSubmissionV04 tsmt.014.001.04ExternalCashAccountType1Code DataSetSubmissionV05 tsmt.014.001.05ExternalCashAccountType1Code ForwardDataSetSubmissionReportV04 tsmt.017.001.04ExternalCashAccountType1Code ForwardDataSetSubmissionReportV05 tsmt.017.001.05ExternalCashAccountType1Code FullPushThroughReportV04 tsmt.018.001.04ExternalCashAccountType1Code FullPushThroughReportV05 tsmt.018.001.05ExternalCashAccountType1Code InitialBaselineSubmissionV04 tsmt.019.001.04ExternalCashAccountType1Code InitialBaselineSubmissionV05 tsmt.019.001.05ExternalCashAccountType1Code IntentToPayNotificationV02 tsmt.044.001.02ExternalCashAccountType1Code ForwardIntentToPayNotificationV02 tsmt.045.001.02ExternalCashClearingSystem1Code UnableToApplyV06 camt.026.001.06ExternalCashClearingSystem1Code ClaimNonReceiptV06 camt.027.001.06ExternalCashClearingSystem1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalCashClearingSystem1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalCashClearingSystem1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalCashClearingSystem1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalCashClearingSystem1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalCashClearingSystem1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalCashClearingSystem1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalCashClearingSystem1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalCashClearingSystem1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalCashClearingSystem1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalCashClearingSystem1Code ResolutionOfInvestigationV07 camt.029.001.07

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ExternalCashClearingSystem1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalCashClearingSystem1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalCashClearingSystem1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalCashClearingSystem1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalCashClearingSystem1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalCashClearingSystem1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalCashClearingSystem1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalCashClearingSystem1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalCashClearingSystem1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalCashClearingSystem1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalCashClearingSystem1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalCashClearingSystem1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalCashClearingSystem1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalCashClearingSystem1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalCashClearingSystem1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalCashClearingSystem1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalCashClearingSystem1Code RequestToModifyPaymentV05 camt.087.001.05ExternalCashClearingSystem1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalCashClearingSystem1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalCashClearingSystem1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalCashClearingSystem1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalCashClearingSystem1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalCashClearingSystem1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalCashClearingSystem1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalCashClearingSystem1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalCashClearingSystem1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalCashClearingSystem1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalCashClearingSystem1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalCashClearingSystem1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalCashClearingSystem1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalCashClearingSystem1Code PaymentReturnV02 pacs.004.001.02ExternalCashClearingSystem1Code PaymentReturnV03 pacs.004.001.03ExternalCashClearingSystem1Code PaymentReturnV04 pacs.004.001.04ExternalCashClearingSystem1Code PaymentReturnV05 pacs.004.001.05ExternalCashClearingSystem1Code PaymentReturnV06 pacs.004.001.06ExternalCashClearingSystem1Code PaymentReturnV07 pacs.004.001.07ExternalCashClearingSystem1Code PaymentReturnV08 pacs.004.001.08ExternalCashClearingSystem1Code FIToFIPaymentReversalV02 pacs.007.001.02

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ExternalCashClearingSystem1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalCashClearingSystem1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalCashClearingSystem1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalCashClearingSystem1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalCashClearingSystem1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalCashClearingSystem1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalCashClearingSystem1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalCashClearingSystem1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalCashClearingSystem1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalCashClearingSystem1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalCashClearingSystem1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalCashClearingSystem1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalCashClearingSystem1Code FinancialInstitutionCreditTransferV02 pacs.009.001.02ExternalCashClearingSystem1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalCashClearingSystem1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalCashClearingSystem1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalCashClearingSystem1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalCashClearingSystem1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalCashClearingSystem1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalCashClearingSystem1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalCashClearingSystem1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalCashClearingSystem1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalCashClearingSystem1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalCashClearingSystem1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalCashClearingSystem1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalCashClearingSystem1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalCashClearingSystem1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalCashClearingSystem1Code CustomerPaymentReversalV02 pain.007.001.02ExternalCashClearingSystem1Code CustomerPaymentReversalV03 pain.007.001.03ExternalCashClearingSystem1Code CustomerPaymentReversalV04 pain.007.001.04ExternalCashClearingSystem1Code CustomerPaymentReversalV05 pain.007.001.05ExternalCashClearingSystem1Code CustomerPaymentReversalV06 pain.007.001.06ExternalCashClearingSystem1Code CustomerPaymentReversalV07 pain.007.001.07ExternalCashClearingSystem1Code CustomerPaymentReversalV08 pain.007.001.08ExternalCashClearingSystem1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalCashClearingSystem1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalCategoryPurpose1Code RequestToModifyPaymentV03 camt.007.002.03ExternalCategoryPurpose1Code UnableToApplyV06 camt.026.001.06

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ExternalCategoryPurpose1Code ClaimNonReceiptV06 camt.027.001.06ExternalCategoryPurpose1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalCategoryPurpose1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalCategoryPurpose1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalCategoryPurpose1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalCategoryPurpose1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalCategoryPurpose1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalCategoryPurpose1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalCategoryPurpose1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalCategoryPurpose1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalCategoryPurpose1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalCategoryPurpose1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalCategoryPurpose1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalCategoryPurpose1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalCategoryPurpose1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalCategoryPurpose1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalCategoryPurpose1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalCategoryPurpose1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalCategoryPurpose1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalCategoryPurpose1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalCategoryPurpose1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalCategoryPurpose1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalCategoryPurpose1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalCategoryPurpose1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalCategoryPurpose1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalCategoryPurpose1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalCategoryPurpose1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalCategoryPurpose1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalCategoryPurpose1Code RequestToModifyPaymentV01 camt.087.001.01ExternalCategoryPurpose1Code RequestToModifyPaymentV02 camt.087.001.02ExternalCategoryPurpose1Code RequestToModifyPaymentV03 camt.087.001.03ExternalCategoryPurpose1Code RequestToModifyPaymentV04 camt.087.001.04ExternalCategoryPurpose1Code RequestToModifyPaymentV05 camt.087.001.05ExternalCategoryPurpose1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalCategoryPurpose1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalCategoryPurpose1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalCategoryPurpose1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalCategoryPurpose1Code FIToFIPaymentStatusReportV07 pacs.002.001.07

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ExternalCategoryPurpose1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalCategoryPurpose1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalCategoryPurpose1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalCategoryPurpose1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalCategoryPurpose1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalCategoryPurpose1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalCategoryPurpose1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalCategoryPurpose1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalCategoryPurpose1Code PaymentReturnV02 pacs.004.001.02ExternalCategoryPurpose1Code PaymentReturnV03 pacs.004.001.03ExternalCategoryPurpose1Code PaymentReturnV04 pacs.004.001.04ExternalCategoryPurpose1Code PaymentReturnV05 pacs.004.001.05ExternalCategoryPurpose1Code PaymentReturnV06 pacs.004.001.06ExternalCategoryPurpose1Code PaymentReturnV07 pacs.004.001.07ExternalCategoryPurpose1Code PaymentReturnV08 pacs.004.001.08ExternalCategoryPurpose1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalCategoryPurpose1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalCategoryPurpose1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalCategoryPurpose1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalCategoryPurpose1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalCategoryPurpose1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalCategoryPurpose1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalCategoryPurpose1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalCategoryPurpose1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalCategoryPurpose1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalCategoryPurpose1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalCategoryPurpose1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalCategoryPurpose1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalCategoryPurpose1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalCategoryPurpose1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalCategoryPurpose1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalCategoryPurpose1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalCategoryPurpose1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalCategoryPurpose1Code FinancialInstitutionDirectDebitV02 pacs.010.001.02ExternalCategoryPurpose1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalCategoryPurpose1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalCategoryPurpose1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalCategoryPurpose1Code CustomerCreditTransferInitiationV04 pain.001.001.04

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ExternalCategoryPurpose1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalCategoryPurpose1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalCategoryPurpose1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalCategoryPurpose1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalCategoryPurpose1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalCategoryPurpose1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalCategoryPurpose1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalCategoryPurpose1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalCategoryPurpose1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalCategoryPurpose1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalCategoryPurpose1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalCategoryPurpose1Code CustomerPaymentReversalV02 pain.007.001.02ExternalCategoryPurpose1Code CustomerPaymentReversalV03 pain.007.001.03ExternalCategoryPurpose1Code CustomerPaymentReversalV04 pain.007.001.04ExternalCategoryPurpose1Code CustomerPaymentReversalV05 pain.007.001.05ExternalCategoryPurpose1Code CustomerPaymentReversalV06 pain.007.001.06ExternalCategoryPurpose1Code CustomerPaymentReversalV07 pain.007.001.07ExternalCategoryPurpose1Code CustomerPaymentReversalV08 pain.007.001.08ExternalCategoryPurpose1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalCategoryPurpose1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalCategoryPurpose1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalCategoryPurpose1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalCategoryPurpose1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalCategoryPurpose1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalCategoryPurpose1Code MandateInitiationRequestV05 pain.009.001.05ExternalCategoryPurpose1Code MandateAmendmentRequestV05 pain.010.001.05ExternalCategoryPurpose1Code MandateCancellationRequestV05 pain.011.001.05ExternalCategoryPurpose1Code MandateAcceptanceReportV05 pain.012.001.05ExternalCategoryPurpose1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalCategoryPurpose1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalCategoryPurpose1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalCategoryPurpose1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalCategoryPurpose1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalCategoryPurpose1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalCategoryPurpose1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalCategoryPurpose1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalCategoryPurpose1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalCategoryPurpose1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04

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ExternalCategoryPurpose1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalCategoryPurpose1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalCategoryPurpose1Code MandateCopyRequestV01 pain.017.001.01ExternalCategoryPurpose1Code MandateSuspensionRequestV01 pain.018.001.01ExternalCategoryPurpose1Code RemittanceAdviceV01 remt.001.001.01ExternalCategoryPurpose1Code RemittanceAdviceV02 remt.001.001.02ExternalCategoryPurpose1Code RemittanceAdviceV03 remt.001.001.03ExternalCategoryPurpose1Code FinancialInvoiceV01 tsin.004.001.01ExternalCategoryPurpose1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalCategoryPurpose1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalCategoryPurpose1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalCategoryPurpose1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalCategoryPurpose1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalCategoryPurpose1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalChannel1Code UndertakingApplicationV01 tsin.005.001.01ExternalChannel1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalChannel1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalChannel1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalChannel1Code UndertakingAmendmentRequestV01 tsrv.004.001.01ExternalChannel1Code UndertakingAmendmentV01 tsrv.005.001.01ExternalChannel1Code UndertakingAmendmentAdviceV01 tsrv.006.001.01ExternalChannel1Code UndertakingAmendmentNotificationV01 tsrv.007.001.01ExternalChargeType1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalChargeType1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalChargeType1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalChargeType1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalChargeType1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalChargeType1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalChargeType1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalChargeType1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalChargeType1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalChargeType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalChargeType1Code BankToCustomerStatementV03 camt.053.001.03ExternalChargeType1Code BankToCustomerStatementV04 camt.053.001.04ExternalChargeType1Code BankToCustomerStatementV05 camt.053.001.05ExternalChargeType1Code BankToCustomerStatementV06 camt.053.001.06ExternalChargeType1Code BankToCustomerStatementV07 camt.053.001.07ExternalChargeType1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03

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ExternalChargeType1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalChargeType1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalChargeType1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalChargeType1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalClaimNonReceiptRejection1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalClearingSystemIdentification1Code AccountOpeningRequestV01 acmt.007.001.01ExternalClearingSystemIdentification1Code AccountOpeningRequestV02 acmt.007.001.02ExternalClearingSystemIdentification1Code AccountOpeningAmendmentRequestV01 acmt.008.001.01ExternalClearingSystemIdentification1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalClearingSystemIdentification1Code AccountOpeningAdditionalInformationRequestV01 acmt.009.001.01ExternalClearingSystemIdentification1Code AccountOpeningAdditionalInformationRequestV02 acmt.009.001.02ExternalClearingSystemIdentification1Code AccountRequestAcknowledgementV01 acmt.010.001.01ExternalClearingSystemIdentification1Code AccountRequestAcknowledgementV02 acmt.010.001.02ExternalClearingSystemIdentification1Code AccountRequestRejectionV01 acmt.011.001.01ExternalClearingSystemIdentification1Code AccountRequestRejectionV02 acmt.011.001.02ExternalClearingSystemIdentification1Code AccountAdditionalInformationRequestV01 acmt.012.001.01ExternalClearingSystemIdentification1Code AccountAdditionalInformationRequestV02 acmt.012.001.02ExternalClearingSystemIdentification1Code AccountReportRequestV01 acmt.013.001.01ExternalClearingSystemIdentification1Code AccountReportRequestV02 acmt.013.001.02ExternalClearingSystemIdentification1Code AccountReportV01 acmt.014.001.01ExternalClearingSystemIdentification1Code AccountReportV02 acmt.014.001.02ExternalClearingSystemIdentification1Code AccountExcludedMandateMaintenanceRequestV01 acmt.015.001.01ExternalClearingSystemIdentification1Code AccountExcludedMandateMaintenanceRequestV02 acmt.015.001.02ExternalClearingSystemIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV01 acmt.016.001.01ExternalClearingSystemIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV02 acmt.016.001.02ExternalClearingSystemIdentification1Code AccountMandateMaintenanceRequestV01 acmt.017.001.01ExternalClearingSystemIdentification1Code AccountMandateMaintenanceRequestV02 acmt.017.001.02ExternalClearingSystemIdentification1Code AccountMandateMaintenanceAmendmentRequestV01 acmt.018.001.01ExternalClearingSystemIdentification1Code AccountMandateMaintenanceAmendmentRequestV02 acmt.018.001.02ExternalClearingSystemIdentification1Code AccountClosingRequestV01 acmt.019.001.01ExternalClearingSystemIdentification1Code AccountClosingRequestV02 acmt.019.001.02ExternalClearingSystemIdentification1Code AccountClosingAmendmentRequestV01 acmt.020.001.01ExternalClearingSystemIdentification1Code AccountClosingAmendmentRequestV02 acmt.020.001.02ExternalClearingSystemIdentification1Code AccountClosingAdditionalInformationRequestV01 acmt.021.001.01ExternalClearingSystemIdentification1Code AccountClosingAdditionalInformationRequestV02 acmt.021.001.02ExternalClearingSystemIdentification1Code IdentificationModificationAdviceV01 acmt.022.001.01ExternalClearingSystemIdentification1Code IdentificationModificationAdviceV02 acmt.022.001.02ExternalClearingSystemIdentification1Code IdentificationVerificationRequestV01 acmt.023.001.01

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ExternalClearingSystemIdentification1Code IdentificationVerificationRequestV02 acmt.023.001.02ExternalClearingSystemIdentification1Code IdentificationVerificationReportV01 acmt.024.001.01ExternalClearingSystemIdentification1Code IdentificationVerificationReportV02 acmt.024.001.02ExternalClearingSystemIdentification1Code ProcessingRequestV01 admi.017.001.01ExternalClearingSystemIdentification1Code InformationRequestOpeningV01 auth.001.001.01ExternalClearingSystemIdentification1Code InformationRequestResponseV01 auth.002.001.01ExternalClearingSystemIdentification1Code ContractRegistrationRequestV01 auth.018.001.01ExternalClearingSystemIdentification1Code ContractRegistrationConfirmationV01 auth.019.001.01ExternalClearingSystemIdentification1Code ContractRegistrationClosureRequestV01 auth.020.001.01ExternalClearingSystemIdentification1Code ContractRegistrationAmendmentRequestV01 auth.021.001.01ExternalClearingSystemIdentification1Code ContractRegistrationStatementV01 auth.022.001.01ExternalClearingSystemIdentification1Code ContractRegistrationStatementRequestV01 auth.023.001.01ExternalClearingSystemIdentification1Code PaymentRegulatoryInformationNotificationV01 auth.024.001.01ExternalClearingSystemIdentification1Code CurrencyControlSupportingDocumentDeliveryV01 auth.025.001.01ExternalClearingSystemIdentification1Code CurrencyControlRequestOrLetterV01 auth.026.001.01ExternalClearingSystemIdentification1Code CurrencyControlStatusAdviceV01 auth.027.001.01ExternalClearingSystemIdentification1Code RequestToModifyPaymentV03 camt.007.002.03ExternalClearingSystemIdentification1Code UnableToApplyV03 camt.026.001.03ExternalClearingSystemIdentification1Code UnableToApplyV04 camt.026.001.04ExternalClearingSystemIdentification1Code UnableToApplyV05 camt.026.001.05ExternalClearingSystemIdentification1Code UnableToApplyV06 camt.026.001.06ExternalClearingSystemIdentification1Code ClaimNonReceiptV03 camt.027.001.03ExternalClearingSystemIdentification1Code ClaimNonReceiptV04 camt.027.001.04ExternalClearingSystemIdentification1Code ClaimNonReceiptV05 camt.027.001.05ExternalClearingSystemIdentification1Code ClaimNonReceiptV06 camt.027.001.06ExternalClearingSystemIdentification1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalClearingSystemIdentification1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalClearingSystemIdentification1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalClearingSystemIdentification1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalClearingSystemIdentification1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalClearingSystemIdentification1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalClearingSystemIdentification1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalClearingSystemIdentification1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalClearingSystemIdentification1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalClearingSystemIdentification1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalClearingSystemIdentification1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalClearingSystemIdentification1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalClearingSystemIdentification1Code NotificationOfCaseAssignmentV03 camt.030.001.03

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ExternalClearingSystemIdentification1Code NotificationOfCaseAssignmentV04 camt.030.001.04ExternalClearingSystemIdentification1Code RejectInvestigationV03 camt.031.001.03ExternalClearingSystemIdentification1Code RejectInvestigationV04 camt.031.001.04ExternalClearingSystemIdentification1Code RejectInvestigationV05 camt.031.001.05ExternalClearingSystemIdentification1Code CancelCaseAssignmentV02 camt.032.001.02ExternalClearingSystemIdentification1Code CancelCaseAssignmentV03 camt.032.001.03ExternalClearingSystemIdentification1Code RequestForDuplicateV03 camt.033.001.03ExternalClearingSystemIdentification1Code RequestForDuplicateV04 camt.033.001.04ExternalClearingSystemIdentification1Code RequestForDuplicateV05 camt.033.001.05ExternalClearingSystemIdentification1Code DuplicateV03 camt.034.001.03ExternalClearingSystemIdentification1Code DuplicateV04 camt.034.001.04ExternalClearingSystemIdentification1Code DuplicateV05 camt.034.001.05ExternalClearingSystemIdentification1Code ProprietaryFormatInvestigationV02 camt.035.001.02ExternalClearingSystemIdentification1Code ProprietaryFormatInvestigationV03 camt.035.001.03ExternalClearingSystemIdentification1Code ProprietaryFormatInvestigationV04 camt.035.001.04ExternalClearingSystemIdentification1Code DebitAuthorisationResponseV02 camt.036.001.02ExternalClearingSystemIdentification1Code DebitAuthorisationResponseV03 camt.036.001.03ExternalClearingSystemIdentification1Code DebitAuthorisationResponseV04 camt.036.001.04ExternalClearingSystemIdentification1Code DebitAuthorisationRequestV03 camt.037.001.03ExternalClearingSystemIdentification1Code DebitAuthorisationRequestV04 camt.037.001.04ExternalClearingSystemIdentification1Code DebitAuthorisationRequestV05 camt.037.001.05ExternalClearingSystemIdentification1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalClearingSystemIdentification1Code CaseStatusReportRequestV02 camt.038.001.02ExternalClearingSystemIdentification1Code CaseStatusReportRequestV03 camt.038.001.03ExternalClearingSystemIdentification1Code CaseStatusReportV03 camt.039.001.03ExternalClearingSystemIdentification1Code CaseStatusReportV04 camt.039.001.04ExternalClearingSystemIdentification1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalClearingSystemIdentification1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalClearingSystemIdentification1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalClearingSystemIdentification1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalClearingSystemIdentification1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalClearingSystemIdentification1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalClearingSystemIdentification1Code BankToCustomerStatementV02 camt.053.001.02ExternalClearingSystemIdentification1Code BankToCustomerStatementV03 camt.053.001.03ExternalClearingSystemIdentification1Code BankToCustomerStatementV04 camt.053.001.04ExternalClearingSystemIdentification1Code BankToCustomerStatementV05 camt.053.001.05ExternalClearingSystemIdentification1Code BankToCustomerStatementV06 camt.053.001.06ExternalClearingSystemIdentification1Code BankToCustomerStatementV07 camt.053.001.07

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ExternalClearingSystemIdentification1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalClearingSystemIdentification1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalClearingSystemIdentification1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalClearingSystemIdentification1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalClearingSystemIdentification1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalClearingSystemIdentification1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalClearingSystemIdentification1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalClearingSystemIdentification1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalClearingSystemIdentification1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalClearingSystemIdentification1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalClearingSystemIdentification1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalClearingSystemIdentification1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalClearingSystemIdentification1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalClearingSystemIdentification1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalClearingSystemIdentification1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalClearingSystemIdentification1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalClearingSystemIdentification1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalClearingSystemIdentification1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalClearingSystemIdentification1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalClearingSystemIdentification1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalClearingSystemIdentification1Code NotificationToReceiveV02 camt.057.001.02ExternalClearingSystemIdentification1Code NotificationToReceiveV03 camt.057.001.03ExternalClearingSystemIdentification1Code NotificationToReceiveV04 camt.057.001.04ExternalClearingSystemIdentification1Code NotificationToReceiveV05 camt.057.001.05ExternalClearingSystemIdentification1Code NotificationToReceiveCancellationAdviceV02 camt.058.001.02ExternalClearingSystemIdentification1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalClearingSystemIdentification1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalClearingSystemIdentification1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalClearingSystemIdentification1Code NotificationToReceiveStatusReportV02 camt.059.001.02ExternalClearingSystemIdentification1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalClearingSystemIdentification1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalClearingSystemIdentification1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalClearingSystemIdentification1Code AccountReportingRequestV02 camt.060.001.02ExternalClearingSystemIdentification1Code AccountReportingRequestV03 camt.060.001.03ExternalClearingSystemIdentification1Code AccountReportingRequestV04 camt.060.001.04ExternalClearingSystemIdentification1Code PayInCallV02 camt.061.001.02ExternalClearingSystemIdentification1Code PayInScheduleV03 camt.062.001.03ExternalClearingSystemIdentification1Code BankServicesBillingStatementV01 camt.086.001.01

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ExternalClearingSystemIdentification1Code BankServicesBillingStatementV02 camt.086.001.02ExternalClearingSystemIdentification1Code RequestToModifyPaymentV01 camt.087.001.01ExternalClearingSystemIdentification1Code RequestToModifyPaymentV02 camt.087.001.02ExternalClearingSystemIdentification1Code RequestToModifyPaymentV03 camt.087.001.03ExternalClearingSystemIdentification1Code RequestToModifyPaymentV04 camt.087.001.04ExternalClearingSystemIdentification1Code RequestToModifyPaymentV05 camt.087.001.05ExternalClearingSystemIdentification1Code NetReportV01 camt.088.001.01ExternalClearingSystemIdentification1Code ForeignExchangeTradeStatusNotificationV04 fxtr.008.001.04ExternalClearingSystemIdentification1Code ForeignExchangeTradeStatusNotificationV06 fxtr.008.001.06ExternalClearingSystemIdentification1Code ForeignExchangeTradeInstructionV02 fxtr.014.001.02ExternalClearingSystemIdentification1Code ForeignExchangeTradeInstructionV04 fxtr.014.001.04ExternalClearingSystemIdentification1Code ForeignExchangeTradeInstructionAmendmentV02 fxtr.015.001.02ExternalClearingSystemIdentification1Code ForeignExchangeTradeInstructionAmendmentV04 fxtr.015.001.04ExternalClearingSystemIdentification1Code ForeignExchangeTradeInstructionCancellationV02 fxtr.016.001.02ExternalClearingSystemIdentification1Code ForeignExchangeTradeInstructionCancellationV04 fxtr.016.001.04ExternalClearingSystemIdentification1Code ForeignExchangeTradeStatusAndDetailsNotificationV02 fxtr.017.001.02ExternalClearingSystemIdentification1Code ForeignExchangeTradeStatusAndDetailsNotificationV04 fxtr.017.001.04ExternalClearingSystemIdentification1Code ForeignExchangeTradeBulkStatusNotificationV02 fxtr.030.001.02ExternalClearingSystemIdentification1Code ForeignExchangeTradeBulkStatusNotificationV04 fxtr.030.001.04ExternalClearingSystemIdentification1Code BusinessApplicationHeaderV01 head.001.001.01ExternalClearingSystemIdentification1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalClearingSystemIdentification1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalClearingSystemIdentification1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalClearingSystemIdentification1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalClearingSystemIdentification1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalClearingSystemIdentification1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalClearingSystemIdentification1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalClearingSystemIdentification1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalClearingSystemIdentification1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalClearingSystemIdentification1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalClearingSystemIdentification1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalClearingSystemIdentification1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalClearingSystemIdentification1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalClearingSystemIdentification1Code PaymentReturnV02 pacs.004.001.02ExternalClearingSystemIdentification1Code PaymentReturnV03 pacs.004.001.03ExternalClearingSystemIdentification1Code PaymentReturnV04 pacs.004.001.04ExternalClearingSystemIdentification1Code PaymentReturnV05 pacs.004.001.05ExternalClearingSystemIdentification1Code PaymentReturnV06 pacs.004.001.06

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ExternalClearingSystemIdentification1Code PaymentReturnV07 pacs.004.001.07ExternalClearingSystemIdentification1Code PaymentReturnV08 pacs.004.001.08ExternalClearingSystemIdentification1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalClearingSystemIdentification1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalClearingSystemIdentification1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalClearingSystemIdentification1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalClearingSystemIdentification1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalClearingSystemIdentification1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalClearingSystemIdentification1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalClearingSystemIdentification1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalClearingSystemIdentification1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalClearingSystemIdentification1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalClearingSystemIdentification1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalClearingSystemIdentification1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalClearingSystemIdentification1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalClearingSystemIdentification1Code FinancialInstitutionCreditTransferV02 pacs.009.001.02ExternalClearingSystemIdentification1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalClearingSystemIdentification1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalClearingSystemIdentification1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalClearingSystemIdentification1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalClearingSystemIdentification1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalClearingSystemIdentification1Code FinancialInstitutionDirectDebitV02 pacs.010.001.02ExternalClearingSystemIdentification1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalClearingSystemIdentification1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalClearingSystemIdentification1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalClearingSystemIdentification1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalClearingSystemIdentification1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalClearingSystemIdentification1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalClearingSystemIdentification1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalClearingSystemIdentification1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalClearingSystemIdentification1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalClearingSystemIdentification1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalClearingSystemIdentification1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalClearingSystemIdentification1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalClearingSystemIdentification1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalClearingSystemIdentification1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalClearingSystemIdentification1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalClearingSystemIdentification1Code CustomerPaymentReversalV02 pain.007.001.02

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ExternalClearingSystemIdentification1Code CustomerPaymentReversalV03 pain.007.001.03ExternalClearingSystemIdentification1Code CustomerPaymentReversalV04 pain.007.001.04ExternalClearingSystemIdentification1Code CustomerPaymentReversalV05 pain.007.001.05ExternalClearingSystemIdentification1Code CustomerPaymentReversalV06 pain.007.001.06ExternalClearingSystemIdentification1Code CustomerPaymentReversalV07 pain.007.001.07ExternalClearingSystemIdentification1Code CustomerPaymentReversalV08 pain.007.001.08ExternalClearingSystemIdentification1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalClearingSystemIdentification1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalClearingSystemIdentification1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalClearingSystemIdentification1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalClearingSystemIdentification1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalClearingSystemIdentification1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalClearingSystemIdentification1Code MandateInitiationRequestV01 pain.009.001.01ExternalClearingSystemIdentification1Code MandateInitiationRequestV02 pain.009.001.02ExternalClearingSystemIdentification1Code MandateInitiationRequestV03 pain.009.001.03ExternalClearingSystemIdentification1Code MandateInitiationRequestV04 pain.009.001.04ExternalClearingSystemIdentification1Code MandateInitiationRequestV05 pain.009.001.05ExternalClearingSystemIdentification1Code MandateAmendmentRequestV01 pain.010.001.01ExternalClearingSystemIdentification1Code MandateAmendmentRequestV02 pain.010.001.02ExternalClearingSystemIdentification1Code MandateAmendmentRequestV03 pain.010.001.03ExternalClearingSystemIdentification1Code MandateAmendmentRequestV04 pain.010.001.04ExternalClearingSystemIdentification1Code MandateAmendmentRequestV05 pain.010.001.05ExternalClearingSystemIdentification1Code MandateCancellationRequestV01 pain.011.001.01ExternalClearingSystemIdentification1Code MandateCancellationRequestV02 pain.011.001.02ExternalClearingSystemIdentification1Code MandateCancellationRequestV03 pain.011.001.03ExternalClearingSystemIdentification1Code MandateCancellationRequestV04 pain.011.001.04ExternalClearingSystemIdentification1Code MandateCancellationRequestV05 pain.011.001.05ExternalClearingSystemIdentification1Code MandateAcceptanceReportV01 pain.012.001.01ExternalClearingSystemIdentification1Code MandateAcceptanceReportV02 pain.012.001.02ExternalClearingSystemIdentification1Code MandateAcceptanceReportV03 pain.012.001.03ExternalClearingSystemIdentification1Code MandateAcceptanceReportV04 pain.012.001.04ExternalClearingSystemIdentification1Code MandateAcceptanceReportV05 pain.012.001.05ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestV06 pain.013.001.06

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ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalClearingSystemIdentification1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalClearingSystemIdentification1Code MandateCopyRequestV01 pain.017.001.01ExternalClearingSystemIdentification1Code MandateSuspensionRequestV01 pain.018.001.01ExternalClearingSystemIdentification1Code NettingCutOffReferenceDataUpdateRequestV01 reda.060.001.01ExternalClearingSystemIdentification1Code NettingCutOffReferenceDataReportV01 reda.061.001.01ExternalClearingSystemIdentification1Code RemittanceAdviceV01 remt.001.001.01ExternalClearingSystemIdentification1Code RemittanceAdviceV02 remt.001.001.02ExternalClearingSystemIdentification1Code RemittanceAdviceV03 remt.001.001.03ExternalClearingSystemIdentification1Code RemittanceLocationAdviceV01 remt.002.001.01ExternalClearingSystemIdentification1Code InformationResponseSD1V01 supl.027.001.01ExternalClearingSystemIdentification1Code FinancialInvoiceV01 tsin.004.001.01ExternalClearingSystemIdentification1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalClearingSystemIdentification1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalClearingSystemIdentification1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalClearingSystemIdentification1Code PartyRegistrationAndGuaranteeRequestV01 tsin.009.001.01ExternalClearingSystemIdentification1Code PartyRegistrationAndGuaranteeStatusV01 tsin.010.001.01ExternalClearingSystemIdentification1Code PartyRegistrationAndGuaranteeNotificationV01 tsin.011.001.01ExternalClearingSystemIdentification1Code PartyRegistrationAndGuaranteeAcknowledgementV01 tsin.012.001.01ExternalClearingSystemIdentification1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalClearingSystemIdentification1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalClearingSystemIdentification1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalClearingSystemIdentification1Code PartyEventAdviceV01 tsmt.055.001.01ExternalClearingSystemIdentification1Code UndertakingDemandV01 tsrv.013.001.01ExternalClearingSystemIdentification1Code TradeStatusReportV01 tsrv.018.001.01ExternalClearingSystemIdentification1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalCommunicationFormat1Code AccountOpeningRequestV02 acmt.007.001.02ExternalCommunicationFormat1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalCommunicationFormat1Code AccountOpeningAdditionalInformationRequestV02 acmt.009.001.02ExternalCommunicationFormat1Code AccountReportV02 acmt.014.001.02ExternalCommunicationFormat1Code AccountExcludedMandateMaintenanceRequestV02 acmt.015.001.02ExternalCommunicationFormat1Code AccountExcludedMandateMaintenanceAmendmentRequestV02 acmt.016.001.02ExternalContractBalanceType1Code ContractRegistrationRequestV01 auth.018.001.01ExternalContractBalanceType1Code ContractRegistrationConfirmationV01 auth.019.001.01

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ExternalContractBalanceType1Code ContractRegistrationAmendmentRequestV01 auth.021.001.01ExternalContractBalanceType1Code ContractRegistrationStatementV01 auth.022.001.01ExternalContractClosureReason1Code ContractRegistrationConfirmationV01 auth.019.001.01ExternalContractClosureReason1Code ContractRegistrationClosureRequestV01 auth.020.001.01ExternalContractClosureReason1Code ContractRegistrationStatementV01 auth.022.001.01ExternalCreditLineType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalCreditLineType1Code BankToCustomerStatementV07 camt.053.001.07ExternalDateFrequency1Code UndertakingApplicationV01 tsin.005.001.01ExternalDateFrequency1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalDateFrequency1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalDateFrequency1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalDiscountAmountType1Code UnableToApplyV06 camt.026.001.06ExternalDiscountAmountType1Code ClaimNonReceiptV06 camt.027.001.06ExternalDiscountAmountType1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalDiscountAmountType1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalDiscountAmountType1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalDiscountAmountType1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalDiscountAmountType1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalDiscountAmountType1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalDiscountAmountType1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalDiscountAmountType1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalDiscountAmountType1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalDiscountAmountType1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalDiscountAmountType1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalDiscountAmountType1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalDiscountAmountType1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalDiscountAmountType1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalDiscountAmountType1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalDiscountAmountType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalDiscountAmountType1Code BankToCustomerStatementV03 camt.053.001.03ExternalDiscountAmountType1Code BankToCustomerStatementV04 camt.053.001.04ExternalDiscountAmountType1Code BankToCustomerStatementV05 camt.053.001.05ExternalDiscountAmountType1Code BankToCustomerStatementV06 camt.053.001.06ExternalDiscountAmountType1Code BankToCustomerStatementV07 camt.053.001.07ExternalDiscountAmountType1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalDiscountAmountType1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalDiscountAmountType1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalDiscountAmountType1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06

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ExternalDiscountAmountType1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalDiscountAmountType1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalDiscountAmountType1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalDiscountAmountType1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalDiscountAmountType1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalDiscountAmountType1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalDiscountAmountType1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalDiscountAmountType1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalDiscountAmountType1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalDiscountAmountType1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalDiscountAmountType1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalDiscountAmountType1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalDiscountAmountType1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalDiscountAmountType1Code NotificationToReceiveV03 camt.057.001.03ExternalDiscountAmountType1Code NotificationToReceiveV04 camt.057.001.04ExternalDiscountAmountType1Code NotificationToReceiveV05 camt.057.001.05ExternalDiscountAmountType1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalDiscountAmountType1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalDiscountAmountType1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalDiscountAmountType1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalDiscountAmountType1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalDiscountAmountType1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalDiscountAmountType1Code RequestToModifyPaymentV01 camt.087.001.01ExternalDiscountAmountType1Code RequestToModifyPaymentV02 camt.087.001.02ExternalDiscountAmountType1Code RequestToModifyPaymentV03 camt.087.001.03ExternalDiscountAmountType1Code RequestToModifyPaymentV04 camt.087.001.04ExternalDiscountAmountType1Code RequestToModifyPaymentV05 camt.087.001.05ExternalDiscountAmountType1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalDiscountAmountType1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalDiscountAmountType1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalDiscountAmountType1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalDiscountAmountType1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalDiscountAmountType1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalDiscountAmountType1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalDiscountAmountType1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalDiscountAmountType1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalDiscountAmountType1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalDiscountAmountType1Code FIToFICustomerDirectDebitV07 pacs.003.001.07

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ExternalDiscountAmountType1Code PaymentReturnV03 pacs.004.001.03ExternalDiscountAmountType1Code PaymentReturnV04 pacs.004.001.04ExternalDiscountAmountType1Code PaymentReturnV05 pacs.004.001.05ExternalDiscountAmountType1Code PaymentReturnV06 pacs.004.001.06ExternalDiscountAmountType1Code PaymentReturnV07 pacs.004.001.07ExternalDiscountAmountType1Code PaymentReturnV08 pacs.004.001.08ExternalDiscountAmountType1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalDiscountAmountType1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalDiscountAmountType1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalDiscountAmountType1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalDiscountAmountType1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalDiscountAmountType1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalDiscountAmountType1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalDiscountAmountType1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalDiscountAmountType1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalDiscountAmountType1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalDiscountAmountType1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalDiscountAmountType1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalDiscountAmountType1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalDiscountAmountType1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalDiscountAmountType1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalDiscountAmountType1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalDiscountAmountType1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalDiscountAmountType1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalDiscountAmountType1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalDiscountAmountType1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalDiscountAmountType1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalDiscountAmountType1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalDiscountAmountType1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalDiscountAmountType1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalDiscountAmountType1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalDiscountAmountType1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalDiscountAmountType1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalDiscountAmountType1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalDiscountAmountType1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalDiscountAmountType1Code CustomerPaymentReversalV03 pain.007.001.03ExternalDiscountAmountType1Code CustomerPaymentReversalV04 pain.007.001.04ExternalDiscountAmountType1Code CustomerPaymentReversalV05 pain.007.001.05

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ExternalDiscountAmountType1Code CustomerPaymentReversalV06 pain.007.001.06ExternalDiscountAmountType1Code CustomerPaymentReversalV07 pain.007.001.07ExternalDiscountAmountType1Code CustomerPaymentReversalV08 pain.007.001.08ExternalDiscountAmountType1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalDiscountAmountType1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalDiscountAmountType1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalDiscountAmountType1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalDiscountAmountType1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalDiscountAmountType1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalDiscountAmountType1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalDiscountAmountType1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalDiscountAmountType1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalDiscountAmountType1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalDiscountAmountType1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalDiscountAmountType1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalDiscountAmountType1Code RemittanceAdviceV01 remt.001.001.01ExternalDiscountAmountType1Code RemittanceAdviceV02 remt.001.001.02ExternalDiscountAmountType1Code RemittanceAdviceV03 remt.001.001.03ExternalDocumentFormat1Code UndertakingApplicationV01 tsin.005.001.01ExternalDocumentFormat1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalDocumentFormat1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalDocumentFormat1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalDocumentFormat1Code UndertakingAmendmentRequestV01 tsrv.004.001.01ExternalDocumentFormat1Code UndertakingAmendmentV01 tsrv.005.001.01ExternalDocumentFormat1Code UndertakingAmendmentAdviceV01 tsrv.006.001.01ExternalDocumentFormat1Code UndertakingAmendmentNotificationV01 tsrv.007.001.01ExternalDocumentFormat1Code UndertakingTerminationNotificationV01 tsrv.012.001.01ExternalDocumentFormat1Code UndertakingDemandV01 tsrv.013.001.01ExternalDocumentFormat1Code ExtendOrPayRequestV01 tsrv.014.001.01ExternalDocumentFormat1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalDocumentLineType1Code UnableToApplyV06 camt.026.001.06ExternalDocumentLineType1Code ClaimNonReceiptV06 camt.027.001.06ExternalDocumentLineType1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalDocumentLineType1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalDocumentLineType1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalDocumentLineType1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalDocumentLineType1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalDocumentLineType1Code ResolutionOfInvestigationV08 camt.029.001.08

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ExternalDocumentLineType1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalDocumentLineType1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalDocumentLineType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalDocumentLineType1Code BankToCustomerStatementV06 camt.053.001.06ExternalDocumentLineType1Code BankToCustomerStatementV07 camt.053.001.07ExternalDocumentLineType1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalDocumentLineType1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalDocumentLineType1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalDocumentLineType1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalDocumentLineType1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalDocumentLineType1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalDocumentLineType1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalDocumentLineType1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalDocumentLineType1Code NotificationToReceiveV05 camt.057.001.05ExternalDocumentLineType1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalDocumentLineType1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalDocumentLineType1Code RequestToModifyPaymentV03 camt.087.001.03ExternalDocumentLineType1Code RequestToModifyPaymentV04 camt.087.001.04ExternalDocumentLineType1Code RequestToModifyPaymentV05 camt.087.001.05ExternalDocumentLineType1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalDocumentLineType1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalDocumentLineType1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalDocumentLineType1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalDocumentLineType1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalDocumentLineType1Code PaymentReturnV06 pacs.004.001.06ExternalDocumentLineType1Code PaymentReturnV07 pacs.004.001.07ExternalDocumentLineType1Code PaymentReturnV08 pacs.004.001.08ExternalDocumentLineType1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalDocumentLineType1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalDocumentLineType1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalDocumentLineType1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalDocumentLineType1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalDocumentLineType1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalDocumentLineType1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalDocumentLineType1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalDocumentLineType1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalDocumentLineType1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalDocumentLineType1Code CustomerCreditTransferInitiationV08 pain.001.001.08

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ExternalDocumentLineType1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalDocumentLineType1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalDocumentLineType1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalDocumentLineType1Code CustomerPaymentReversalV06 pain.007.001.06ExternalDocumentLineType1Code CustomerPaymentReversalV07 pain.007.001.07ExternalDocumentLineType1Code CustomerPaymentReversalV08 pain.007.001.08ExternalDocumentLineType1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalDocumentLineType1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalDocumentLineType1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalDocumentLineType1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalDocumentLineType1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalDocumentLineType1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalDocumentLineType1Code RemittanceAdviceV01 remt.001.001.01ExternalDocumentLineType1Code RemittanceAdviceV02 remt.001.001.02ExternalDocumentLineType1Code RemittanceAdviceV03 remt.001.001.03ExternalDocumentPurpose1Code AcceptorAuthorisationRequestV03 caaa.001.001.03ExternalDocumentPurpose1Code AcceptorAuthorisationRequestV04 caaa.001.001.04ExternalDocumentPurpose1Code AcceptorAuthorisationRequestV05 caaa.001.001.05ExternalDocumentPurpose1Code AcceptorAuthorisationRequestV06 caaa.001.001.06ExternalDocumentPurpose1Code AcceptorAuthorisationRequestV07 caaa.001.001.07ExternalDocumentPurpose1Code AcceptorCompletionAdviceV03 caaa.003.001.03ExternalDocumentPurpose1Code AcceptorCompletionAdviceV04 caaa.003.001.04ExternalDocumentPurpose1Code AcceptorCompletionAdviceV05 caaa.003.001.05ExternalDocumentPurpose1Code AcceptorCompletionAdviceV06 caaa.003.001.06ExternalDocumentPurpose1Code AcceptorCompletionAdviceV07 caaa.003.001.07ExternalDocumentPurpose1Code AcceptorBatchTransferV03 caaa.011.001.03ExternalDocumentPurpose1Code AcceptorBatchTransferV04 caaa.011.001.04ExternalDocumentPurpose1Code AcceptorBatchTransferV05 caaa.011.001.05ExternalDocumentPurpose1Code AcceptorBatchTransferV06 caaa.011.001.06ExternalDocumentPurpose1Code AcceptorBatchTransferV07 caaa.011.001.07ExternalDocumentPurpose1Code FinancialInvoiceV01 tsin.004.001.01ExternalDocumentPurpose1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalDocumentPurpose1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalDocumentPurpose1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalDocumentPurpose1Code PartyRegistrationAndGuaranteeRequestV01 tsin.009.001.01ExternalDocumentPurpose1Code PartyRegistrationAndGuaranteeStatusV01 tsin.010.001.01ExternalDocumentPurpose1Code PartyRegistrationAndGuaranteeNotificationV01 tsin.011.001.01ExternalDocumentPurpose1Code PartyRegistrationAndGuaranteeAcknowledgementV01 tsin.012.001.01

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ExternalDocumentPurpose1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalDocumentPurpose1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalDocumentPurpose1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalDocumentType1Code ContractRegistrationRequestV01 auth.018.001.01ExternalDocumentType1Code ContractRegistrationConfirmationV01 auth.019.001.01ExternalDocumentType1Code ContractRegistrationAmendmentRequestV01 auth.021.001.01ExternalDocumentType1Code ContractRegistrationStatementV01 auth.022.001.01ExternalDocumentType1Code PaymentRegulatoryInformationNotificationV01 auth.024.001.01ExternalDocumentType1Code CurrencyControlSupportingDocumentDeliveryV01 auth.025.001.01ExternalDocumentType1Code CurrencyControlRequestOrLetterV01 auth.026.001.01ExternalDocumentType1Code InvoiceTaxReportV01 auth.034.001.01ExternalDocumentType1Code AcceptorAuthorisationRequestV03 caaa.001.001.03ExternalDocumentType1Code AcceptorAuthorisationRequestV04 caaa.001.001.04ExternalDocumentType1Code AcceptorAuthorisationRequestV05 caaa.001.001.05ExternalDocumentType1Code AcceptorAuthorisationRequestV06 caaa.001.001.06ExternalDocumentType1Code AcceptorAuthorisationRequestV07 caaa.001.001.07ExternalDocumentType1Code AcceptorCompletionAdviceV03 caaa.003.001.03ExternalDocumentType1Code AcceptorCompletionAdviceV04 caaa.003.001.04ExternalDocumentType1Code AcceptorCompletionAdviceV05 caaa.003.001.05ExternalDocumentType1Code AcceptorCompletionAdviceV06 caaa.003.001.06ExternalDocumentType1Code AcceptorCompletionAdviceV07 caaa.003.001.07ExternalDocumentType1Code AcceptorBatchTransferV03 caaa.011.001.03ExternalDocumentType1Code AcceptorBatchTransferV04 caaa.011.001.04ExternalDocumentType1Code AcceptorBatchTransferV05 caaa.011.001.05ExternalDocumentType1Code AcceptorBatchTransferV06 caaa.011.001.06ExternalDocumentType1Code AcceptorBatchTransferV07 caaa.011.001.07ExternalDocumentType1Code FinancialInvoiceV01 tsin.004.001.01ExternalDocumentType1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalDocumentType1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalDocumentType1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalDocumentType1Code PartyRegistrationAndGuaranteeRequestV01 tsin.009.001.01ExternalDocumentType1Code PartyRegistrationAndGuaranteeStatusV01 tsin.010.001.01ExternalDocumentType1Code PartyRegistrationAndGuaranteeNotificationV01 tsin.011.001.01ExternalDocumentType1Code PartyRegistrationAndGuaranteeAcknowledgementV01 tsin.012.001.01ExternalDocumentType1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalDocumentType1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalDocumentType1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalDocumentType1Code PartyEventAdviceV01 tsmt.055.001.01

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ExternalEffectiveDateParameter1Code StandingSettlementInstructionV01 reda.056.001.01ExternalEffectiveDateParameter1Code StandingSettlementInstructionDeletionV01 reda.057.001.01ExternalEffectiveDateParameter1Code StandingSettlementInstructionStatusAdviceV01 reda.058.001.01ExternalEffectiveDateParameter1Code StandingSettlementInstructionCancellationV01 reda.059.001.01ExternalEntryStatus1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalEntryStatus1Code BankToCustomerStatementV07 camt.053.001.07ExternalEntryStatus1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalEntryStatus1Code AccountReportingRequestV04 camt.060.001.04ExternalFinancialInstitutionIdentification1Code AccountOpeningRequestV01 acmt.007.001.01ExternalFinancialInstitutionIdentification1Code AccountOpeningRequestV02 acmt.007.001.02ExternalFinancialInstitutionIdentification1Code AccountOpeningAmendmentRequestV01 acmt.008.001.01ExternalFinancialInstitutionIdentification1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalFinancialInstitutionIdentification1Code AccountOpeningAdditionalInformationRequestV01 acmt.009.001.01ExternalFinancialInstitutionIdentification1Code AccountOpeningAdditionalInformationRequestV02 acmt.009.001.02ExternalFinancialInstitutionIdentification1Code AccountRequestAcknowledgementV01 acmt.010.001.01ExternalFinancialInstitutionIdentification1Code AccountRequestAcknowledgementV02 acmt.010.001.02ExternalFinancialInstitutionIdentification1Code AccountRequestRejectionV01 acmt.011.001.01ExternalFinancialInstitutionIdentification1Code AccountRequestRejectionV02 acmt.011.001.02ExternalFinancialInstitutionIdentification1Code AccountAdditionalInformationRequestV01 acmt.012.001.01ExternalFinancialInstitutionIdentification1Code AccountAdditionalInformationRequestV02 acmt.012.001.02ExternalFinancialInstitutionIdentification1Code AccountReportRequestV01 acmt.013.001.01ExternalFinancialInstitutionIdentification1Code AccountReportRequestV02 acmt.013.001.02ExternalFinancialInstitutionIdentification1Code AccountReportV01 acmt.014.001.01ExternalFinancialInstitutionIdentification1Code AccountReportV02 acmt.014.001.02ExternalFinancialInstitutionIdentification1Code AccountExcludedMandateMaintenanceRequestV01 acmt.015.001.01ExternalFinancialInstitutionIdentification1Code AccountExcludedMandateMaintenanceRequestV02 acmt.015.001.02ExternalFinancialInstitutionIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV01 acmt.016.001.01ExternalFinancialInstitutionIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV02 acmt.016.001.02ExternalFinancialInstitutionIdentification1Code AccountMandateMaintenanceRequestV01 acmt.017.001.01ExternalFinancialInstitutionIdentification1Code AccountMandateMaintenanceRequestV02 acmt.017.001.02ExternalFinancialInstitutionIdentification1Code AccountMandateMaintenanceAmendmentRequestV01 acmt.018.001.01ExternalFinancialInstitutionIdentification1Code AccountMandateMaintenanceAmendmentRequestV02 acmt.018.001.02ExternalFinancialInstitutionIdentification1Code AccountClosingRequestV01 acmt.019.001.01ExternalFinancialInstitutionIdentification1Code AccountClosingRequestV02 acmt.019.001.02ExternalFinancialInstitutionIdentification1Code AccountClosingAmendmentRequestV01 acmt.020.001.01ExternalFinancialInstitutionIdentification1Code AccountClosingAmendmentRequestV02 acmt.020.001.02ExternalFinancialInstitutionIdentification1Code AccountClosingAdditionalInformationRequestV01 acmt.021.001.01ExternalFinancialInstitutionIdentification1Code AccountClosingAdditionalInformationRequestV02 acmt.021.001.02

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ExternalFinancialInstitutionIdentification1Code IdentificationModificationAdviceV01 acmt.022.001.01ExternalFinancialInstitutionIdentification1Code IdentificationModificationAdviceV02 acmt.022.001.02ExternalFinancialInstitutionIdentification1Code IdentificationVerificationRequestV01 acmt.023.001.01ExternalFinancialInstitutionIdentification1Code IdentificationVerificationRequestV02 acmt.023.001.02ExternalFinancialInstitutionIdentification1Code IdentificationVerificationReportV01 acmt.024.001.01ExternalFinancialInstitutionIdentification1Code IdentificationVerificationReportV02 acmt.024.001.02ExternalFinancialInstitutionIdentification1Code InformationRequestOpeningV01 auth.001.001.01ExternalFinancialInstitutionIdentification1Code InformationRequestResponseV01 auth.002.001.01ExternalFinancialInstitutionIdentification1Code ContractRegistrationRequestV01 auth.018.001.01ExternalFinancialInstitutionIdentification1Code ContractRegistrationConfirmationV01 auth.019.001.01ExternalFinancialInstitutionIdentification1Code ContractRegistrationClosureRequestV01 auth.020.001.01ExternalFinancialInstitutionIdentification1Code ContractRegistrationAmendmentRequestV01 auth.021.001.01ExternalFinancialInstitutionIdentification1Code ContractRegistrationStatementV01 auth.022.001.01ExternalFinancialInstitutionIdentification1Code ContractRegistrationStatementRequestV01 auth.023.001.01ExternalFinancialInstitutionIdentification1Code PaymentRegulatoryInformationNotificationV01 auth.024.001.01ExternalFinancialInstitutionIdentification1Code CurrencyControlSupportingDocumentDeliveryV01 auth.025.001.01ExternalFinancialInstitutionIdentification1Code CurrencyControlRequestOrLetterV01 auth.026.001.01ExternalFinancialInstitutionIdentification1Code CurrencyControlStatusAdviceV01 auth.027.001.01ExternalFinancialInstitutionIdentification1Code RequestToModifyPaymentV03 camt.007.002.03ExternalFinancialInstitutionIdentification1Code UnableToApplyV03 camt.026.001.03ExternalFinancialInstitutionIdentification1Code UnableToApplyV04 camt.026.001.04ExternalFinancialInstitutionIdentification1Code UnableToApplyV05 camt.026.001.05ExternalFinancialInstitutionIdentification1Code UnableToApplyV06 camt.026.001.06ExternalFinancialInstitutionIdentification1Code ClaimNonReceiptV03 camt.027.001.03ExternalFinancialInstitutionIdentification1Code ClaimNonReceiptV04 camt.027.001.04ExternalFinancialInstitutionIdentification1Code ClaimNonReceiptV05 camt.027.001.05ExternalFinancialInstitutionIdentification1Code ClaimNonReceiptV06 camt.027.001.06ExternalFinancialInstitutionIdentification1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalFinancialInstitutionIdentification1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalFinancialInstitutionIdentification1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalFinancialInstitutionIdentification1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalFinancialInstitutionIdentification1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalFinancialInstitutionIdentification1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalFinancialInstitutionIdentification1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalFinancialInstitutionIdentification1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalFinancialInstitutionIdentification1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalFinancialInstitutionIdentification1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalFinancialInstitutionIdentification1Code ResolutionOfInvestigationV07 camt.029.001.07

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ExternalFinancialInstitutionIdentification1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalFinancialInstitutionIdentification1Code NotificationOfCaseAssignmentV03 camt.030.001.03ExternalFinancialInstitutionIdentification1Code NotificationOfCaseAssignmentV04 camt.030.001.04ExternalFinancialInstitutionIdentification1Code RejectInvestigationV03 camt.031.001.03ExternalFinancialInstitutionIdentification1Code RejectInvestigationV04 camt.031.001.04ExternalFinancialInstitutionIdentification1Code RejectInvestigationV05 camt.031.001.05ExternalFinancialInstitutionIdentification1Code CancelCaseAssignmentV02 camt.032.001.02ExternalFinancialInstitutionIdentification1Code CancelCaseAssignmentV03 camt.032.001.03ExternalFinancialInstitutionIdentification1Code RequestForDuplicateV03 camt.033.001.03ExternalFinancialInstitutionIdentification1Code RequestForDuplicateV04 camt.033.001.04ExternalFinancialInstitutionIdentification1Code RequestForDuplicateV05 camt.033.001.05ExternalFinancialInstitutionIdentification1Code DuplicateV03 camt.034.001.03ExternalFinancialInstitutionIdentification1Code DuplicateV04 camt.034.001.04ExternalFinancialInstitutionIdentification1Code DuplicateV05 camt.034.001.05ExternalFinancialInstitutionIdentification1Code ProprietaryFormatInvestigationV02 camt.035.001.02ExternalFinancialInstitutionIdentification1Code ProprietaryFormatInvestigationV03 camt.035.001.03ExternalFinancialInstitutionIdentification1Code ProprietaryFormatInvestigationV04 camt.035.001.04ExternalFinancialInstitutionIdentification1Code DebitAuthorisationResponseV02 camt.036.001.02ExternalFinancialInstitutionIdentification1Code DebitAuthorisationResponseV03 camt.036.001.03ExternalFinancialInstitutionIdentification1Code DebitAuthorisationResponseV04 camt.036.001.04ExternalFinancialInstitutionIdentification1Code DebitAuthorisationRequestV03 camt.037.001.03ExternalFinancialInstitutionIdentification1Code DebitAuthorisationRequestV04 camt.037.001.04ExternalFinancialInstitutionIdentification1Code DebitAuthorisationRequestV05 camt.037.001.05ExternalFinancialInstitutionIdentification1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalFinancialInstitutionIdentification1Code CaseStatusReportRequestV02 camt.038.001.02ExternalFinancialInstitutionIdentification1Code CaseStatusReportRequestV03 camt.038.001.03ExternalFinancialInstitutionIdentification1Code CaseStatusReportV03 camt.039.001.03ExternalFinancialInstitutionIdentification1Code CaseStatusReportV04 camt.039.001.04ExternalFinancialInstitutionIdentification1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalFinancialInstitutionIdentification1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalFinancialInstitutionIdentification1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalFinancialInstitutionIdentification1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalFinancialInstitutionIdentification1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalFinancialInstitutionIdentification1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalFinancialInstitutionIdentification1Code BankToCustomerStatementV02 camt.053.001.02ExternalFinancialInstitutionIdentification1Code BankToCustomerStatementV03 camt.053.001.03ExternalFinancialInstitutionIdentification1Code BankToCustomerStatementV04 camt.053.001.04ExternalFinancialInstitutionIdentification1Code BankToCustomerStatementV05 camt.053.001.05

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ExternalFinancialInstitutionIdentification1Code BankToCustomerStatementV06 camt.053.001.06ExternalFinancialInstitutionIdentification1Code BankToCustomerStatementV07 camt.053.001.07ExternalFinancialInstitutionIdentification1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalFinancialInstitutionIdentification1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalFinancialInstitutionIdentification1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalFinancialInstitutionIdentification1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalFinancialInstitutionIdentification1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalFinancialInstitutionIdentification1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalFinancialInstitutionIdentification1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalFinancialInstitutionIdentification1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalFinancialInstitutionIdentification1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalFinancialInstitutionIdentification1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalFinancialInstitutionIdentification1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalFinancialInstitutionIdentification1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalFinancialInstitutionIdentification1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalFinancialInstitutionIdentification1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalFinancialInstitutionIdentification1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalFinancialInstitutionIdentification1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalFinancialInstitutionIdentification1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalFinancialInstitutionIdentification1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalFinancialInstitutionIdentification1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalFinancialInstitutionIdentification1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalFinancialInstitutionIdentification1Code NotificationToReceiveV02 camt.057.001.02ExternalFinancialInstitutionIdentification1Code NotificationToReceiveV03 camt.057.001.03ExternalFinancialInstitutionIdentification1Code NotificationToReceiveV04 camt.057.001.04ExternalFinancialInstitutionIdentification1Code NotificationToReceiveV05 camt.057.001.05ExternalFinancialInstitutionIdentification1Code NotificationToReceiveCancellationAdviceV02 camt.058.001.02ExternalFinancialInstitutionIdentification1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalFinancialInstitutionIdentification1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalFinancialInstitutionIdentification1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalFinancialInstitutionIdentification1Code NotificationToReceiveStatusReportV02 camt.059.001.02ExternalFinancialInstitutionIdentification1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalFinancialInstitutionIdentification1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalFinancialInstitutionIdentification1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalFinancialInstitutionIdentification1Code AccountReportingRequestV02 camt.060.001.02ExternalFinancialInstitutionIdentification1Code AccountReportingRequestV03 camt.060.001.03ExternalFinancialInstitutionIdentification1Code AccountReportingRequestV04 camt.060.001.04ExternalFinancialInstitutionIdentification1Code BankServicesBillingStatementV01 camt.086.001.01

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ExternalFinancialInstitutionIdentification1Code BankServicesBillingStatementV02 camt.086.001.02ExternalFinancialInstitutionIdentification1Code RequestToModifyPaymentV01 camt.087.001.01ExternalFinancialInstitutionIdentification1Code RequestToModifyPaymentV02 camt.087.001.02ExternalFinancialInstitutionIdentification1Code RequestToModifyPaymentV03 camt.087.001.03ExternalFinancialInstitutionIdentification1Code RequestToModifyPaymentV04 camt.087.001.04ExternalFinancialInstitutionIdentification1Code RequestToModifyPaymentV05 camt.087.001.05ExternalFinancialInstitutionIdentification1Code BusinessApplicationHeaderV01 head.001.001.01ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalFinancialInstitutionIdentification1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalFinancialInstitutionIdentification1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalFinancialInstitutionIdentification1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalFinancialInstitutionIdentification1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalFinancialInstitutionIdentification1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalFinancialInstitutionIdentification1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalFinancialInstitutionIdentification1Code PaymentReturnV02 pacs.004.001.02ExternalFinancialInstitutionIdentification1Code PaymentReturnV03 pacs.004.001.03ExternalFinancialInstitutionIdentification1Code PaymentReturnV04 pacs.004.001.04ExternalFinancialInstitutionIdentification1Code PaymentReturnV05 pacs.004.001.05ExternalFinancialInstitutionIdentification1Code PaymentReturnV06 pacs.004.001.06ExternalFinancialInstitutionIdentification1Code PaymentReturnV07 pacs.004.001.07ExternalFinancialInstitutionIdentification1Code PaymentReturnV08 pacs.004.001.08ExternalFinancialInstitutionIdentification1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalFinancialInstitutionIdentification1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalFinancialInstitutionIdentification1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalFinancialInstitutionIdentification1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalFinancialInstitutionIdentification1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalFinancialInstitutionIdentification1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalFinancialInstitutionIdentification1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalFinancialInstitutionIdentification1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalFinancialInstitutionIdentification1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalFinancialInstitutionIdentification1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalFinancialInstitutionIdentification1Code FIToFICustomerCreditTransferV05 pacs.008.001.05

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ExternalFinancialInstitutionIdentification1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalFinancialInstitutionIdentification1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalFinancialInstitutionIdentification1Code FinancialInstitutionCreditTransferV02 pacs.009.001.02ExternalFinancialInstitutionIdentification1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalFinancialInstitutionIdentification1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalFinancialInstitutionIdentification1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalFinancialInstitutionIdentification1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalFinancialInstitutionIdentification1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalFinancialInstitutionIdentification1Code FinancialInstitutionDirectDebitV02 pacs.010.001.02ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalFinancialInstitutionIdentification1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalFinancialInstitutionIdentification1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalFinancialInstitutionIdentification1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalFinancialInstitutionIdentification1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalFinancialInstitutionIdentification1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalFinancialInstitutionIdentification1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalFinancialInstitutionIdentification1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalFinancialInstitutionIdentification1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalFinancialInstitutionIdentification1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalFinancialInstitutionIdentification1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalFinancialInstitutionIdentification1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalFinancialInstitutionIdentification1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalFinancialInstitutionIdentification1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalFinancialInstitutionIdentification1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalFinancialInstitutionIdentification1Code CustomerPaymentReversalV02 pain.007.001.02ExternalFinancialInstitutionIdentification1Code CustomerPaymentReversalV03 pain.007.001.03ExternalFinancialInstitutionIdentification1Code CustomerPaymentReversalV04 pain.007.001.04ExternalFinancialInstitutionIdentification1Code CustomerPaymentReversalV05 pain.007.001.05ExternalFinancialInstitutionIdentification1Code CustomerPaymentReversalV06 pain.007.001.06ExternalFinancialInstitutionIdentification1Code CustomerPaymentReversalV07 pain.007.001.07ExternalFinancialInstitutionIdentification1Code CustomerPaymentReversalV08 pain.007.001.08ExternalFinancialInstitutionIdentification1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalFinancialInstitutionIdentification1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalFinancialInstitutionIdentification1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalFinancialInstitutionIdentification1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalFinancialInstitutionIdentification1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalFinancialInstitutionIdentification1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalFinancialInstitutionIdentification1Code MandateInitiationRequestV01 pain.009.001.01

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ExternalFinancialInstitutionIdentification1Code MandateInitiationRequestV02 pain.009.001.02ExternalFinancialInstitutionIdentification1Code MandateInitiationRequestV03 pain.009.001.03ExternalFinancialInstitutionIdentification1Code MandateInitiationRequestV04 pain.009.001.04ExternalFinancialInstitutionIdentification1Code MandateInitiationRequestV05 pain.009.001.05ExternalFinancialInstitutionIdentification1Code MandateAmendmentRequestV01 pain.010.001.01ExternalFinancialInstitutionIdentification1Code MandateAmendmentRequestV02 pain.010.001.02ExternalFinancialInstitutionIdentification1Code MandateAmendmentRequestV03 pain.010.001.03ExternalFinancialInstitutionIdentification1Code MandateAmendmentRequestV04 pain.010.001.04ExternalFinancialInstitutionIdentification1Code MandateAmendmentRequestV05 pain.010.001.05ExternalFinancialInstitutionIdentification1Code MandateCancellationRequestV01 pain.011.001.01ExternalFinancialInstitutionIdentification1Code MandateCancellationRequestV02 pain.011.001.02ExternalFinancialInstitutionIdentification1Code MandateCancellationRequestV03 pain.011.001.03ExternalFinancialInstitutionIdentification1Code MandateCancellationRequestV04 pain.011.001.04ExternalFinancialInstitutionIdentification1Code MandateCancellationRequestV05 pain.011.001.05ExternalFinancialInstitutionIdentification1Code MandateAcceptanceReportV01 pain.012.001.01ExternalFinancialInstitutionIdentification1Code MandateAcceptanceReportV02 pain.012.001.02ExternalFinancialInstitutionIdentification1Code MandateAcceptanceReportV03 pain.012.001.03ExternalFinancialInstitutionIdentification1Code MandateAcceptanceReportV04 pain.012.001.04ExternalFinancialInstitutionIdentification1Code MandateAcceptanceReportV05 pain.012.001.05ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalFinancialInstitutionIdentification1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalFinancialInstitutionIdentification1Code MandateCopyRequestV01 pain.017.001.01ExternalFinancialInstitutionIdentification1Code MandateSuspensionRequestV01 pain.018.001.01ExternalFinancialInstitutionIdentification1Code RemittanceAdviceV01 remt.001.001.01ExternalFinancialInstitutionIdentification1Code RemittanceAdviceV02 remt.001.001.02ExternalFinancialInstitutionIdentification1Code RemittanceAdviceV03 remt.001.001.03ExternalFinancialInstitutionIdentification1Code RemittanceLocationAdviceV01 remt.002.001.01ExternalFinancialInstitutionIdentification1Code InformationResponseSD1V01 supl.027.001.01

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ExternalFinancialInstitutionIdentification1Code FinancialInvoiceV01 tsin.004.001.01ExternalFinancialInstitutionIdentification1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalFinancialInstitutionIdentification1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalFinancialInstitutionIdentification1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalFinancialInstitutionIdentification1Code PartyRegistrationAndGuaranteeRequestV01 tsin.009.001.01ExternalFinancialInstitutionIdentification1Code PartyRegistrationAndGuaranteeStatusV01 tsin.010.001.01ExternalFinancialInstitutionIdentification1Code PartyRegistrationAndGuaranteeNotificationV01 tsin.011.001.01ExternalFinancialInstitutionIdentification1Code PartyRegistrationAndGuaranteeAcknowledgementV01 tsin.012.001.01ExternalFinancialInstitutionIdentification1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalFinancialInstitutionIdentification1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalFinancialInstitutionIdentification1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalFinancialInstitutionIdentification1Code PartyEventAdviceV01 tsmt.055.001.01ExternalFinancialInstitutionIdentification1Code UndertakingDemandV01 tsrv.013.001.01ExternalFinancialInstitutionIdentification1Code TradeStatusReportV01 tsrv.018.001.01ExternalFinancialInstitutionIdentification1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalFinancialInstrumentIdentificationType1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalFinancialInstrumentIdentificationType1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalFinancialInstrumentIdentificationType1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalFinancialInstrumentIdentificationType1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalFinancialInstrumentIdentificationType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalFinancialInstrumentIdentificationType1Code BankToCustomerStatementV03 camt.053.001.03ExternalFinancialInstrumentIdentificationType1Code BankToCustomerStatementV04 camt.053.001.04ExternalFinancialInstrumentIdentificationType1Code BankToCustomerStatementV05 camt.053.001.05ExternalFinancialInstrumentIdentificationType1Code BankToCustomerStatementV06 camt.053.001.06ExternalFinancialInstrumentIdentificationType1Code BankToCustomerStatementV07 camt.053.001.07ExternalFinancialInstrumentIdentificationType1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalFinancialInstrumentIdentificationType1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalFinancialInstrumentIdentificationType1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalFinancialInstrumentIdentificationType1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalFinancialInstrumentIdentificationType1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalFinancialInstrumentIdentificationType1Code CollateralProposalV03 colr.007.001.03ExternalFinancialInstrumentIdentificationType1Code CollateralProposalV04 colr.007.001.04ExternalFinancialInstrumentIdentificationType1Code CollateralProposalV05 colr.007.001.05ExternalFinancialInstrumentIdentificationType1Code CollateralSubstitutionRequestV03 colr.010.001.03ExternalFinancialInstrumentIdentificationType1Code CollateralSubstitutionRequestV04 colr.010.001.04ExternalFinancialInstrumentIdentificationType1Code CollateralAndExposureReportV02 colr.016.001.02ExternalFinancialInstrumentIdentificationType1Code CollateralAndExposureReportV03 colr.016.001.03ExternalFinancialInstrumentIdentificationType1Code ForeignExchangeTradeStatusNotificationV06 fxtr.008.001.06

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ExternalFinancialInstrumentIdentificationType1Code ForeignExchangeTradeInstructionV04 fxtr.014.001.04ExternalFinancialInstrumentIdentificationType1Code ForeignExchangeTradeInstructionAmendmentV04 fxtr.015.001.04ExternalFinancialInstrumentIdentificationType1Code ForeignExchangeTradeInstructionCancellationV04 fxtr.016.001.04ExternalFinancialInstrumentIdentificationType1Code ForeignExchangeTradeStatusAndDetailsNotificationV04 fxtr.017.001.04ExternalFinancialInstrumentIdentificationType1Code TradeLegNotificationV03 secl.001.001.03ExternalFinancialInstrumentIdentificationType1Code TradeLegNotificationCancellationV03 secl.002.001.03ExternalFinancialInstrumentIdentificationType1Code TradeLegStatementV03 secl.003.001.03ExternalFinancialInstrumentIdentificationType1Code NetPositionV03 secl.004.001.03ExternalFinancialInstrumentIdentificationType1Code MarginReportV02 secl.005.001.02ExternalFinancialInstrumentIdentificationType1Code BuyInNotificationV03 secl.007.001.03ExternalFinancialInstrumentIdentificationType1Code BuyInResponseV03 secl.008.001.03ExternalFinancialInstrumentIdentificationType1Code BuyInConfirmationV03 secl.009.001.03ExternalFinancialInstrumentIdentificationType1Code SettlementObligationReportV03 secl.010.001.03ExternalFinancialInstrumentIdentificationType1Code MeetingNotificationV05 seev.001.001.05ExternalFinancialInstrumentIdentificationType1Code MeetingCancellationV05 seev.002.001.05ExternalFinancialInstrumentIdentificationType1Code MeetingEntitlementNotificationV05 seev.003.001.05ExternalFinancialInstrumentIdentificationType1Code MeetingInstructionV05 seev.004.001.05ExternalFinancialInstrumentIdentificationType1Code MeetingInstructionCancellationRequestV05 seev.005.001.05ExternalFinancialInstrumentIdentificationType1Code MeetingInstructionStatusV05 seev.006.001.05ExternalFinancialInstrumentIdentificationType1Code MeetingVoteExecutionConfirmationV05 seev.007.001.05ExternalFinancialInstrumentIdentificationType1Code MeetingResultDisseminationV05 seev.008.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotificationV02 seev.031.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotificationV03 seev.031.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotificationV04 seev.031.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotificationV05 seev.031.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotificationV06 seev.031.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotificationV07 seev.031.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotificationV08 seev.031.001.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotification002V06 seev.031.002.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionNotification002V08 seev.031.002.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionV02 seev.033.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionV03 seev.033.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionV04 seev.033.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionV05 seev.033.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionV06 seev.033.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionV07 seev.033.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionV08 seev.033.001.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstruction002V06 seev.033.002.06

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ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstruction002V08 seev.033.002.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdviceV02 seev.034.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdviceV03 seev.034.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdviceV04 seev.034.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdviceV05 seev.034.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdviceV06 seev.034.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdviceV07 seev.034.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdviceV08 seev.034.001.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdviceV09 seev.034.001.09ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdvice002V07 seev.034.002.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatusAdvice002V09 seev.034.002.09ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceV02 seev.035.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceV03 seev.035.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceV04 seev.035.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceV05 seev.035.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceV06 seev.035.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceV07 seev.035.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceV08 seev.035.001.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceV09 seev.035.001.09ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdvice002V07 seev.035.002.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdvice002V09 seev.035.002.09ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmationV02 seev.036.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmationV03 seev.036.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmationV04 seev.036.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmationV05 seev.036.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmationV06 seev.036.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmationV07 seev.036.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmationV08 seev.036.001.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmationV09 seev.036.001.09ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmation002V07 seev.036.002.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementConfirmation002V09 seev.036.002.09ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdviceV02 seev.037.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdviceV03 seev.037.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdviceV04 seev.037.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdviceV05 seev.037.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdviceV06 seev.037.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdviceV07 seev.037.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdviceV08 seev.037.001.08

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ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdviceV09 seev.037.001.09ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdvice002V07 seev.037.002.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementReversalAdvice002V09 seev.037.002.09ExternalFinancialInstrumentIdentificationType1Code CorporateActionNarrativeV02 seev.038.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionNarrativeV03 seev.038.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionNarrativeV04 seev.038.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionNarrative002V04 seev.038.002.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdviceV02 seev.039.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdviceV03 seev.039.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdviceV04 seev.039.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdviceV05 seev.039.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdviceV06 seev.039.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdviceV07 seev.039.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdviceV08 seev.039.001.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdvice002V06 seev.039.002.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionCancellationAdvice002V08 seev.039.002.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestV02 seev.040.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestV03 seev.040.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestV04 seev.040.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestV05 seev.040.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestV06 seev.040.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestV07 seev.040.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequest002V07 seev.040.002.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdviceV02 seev.041.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdviceV03 seev.041.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdviceV04 seev.041.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdviceV05 seev.041.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdviceV06 seev.041.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdviceV07 seev.041.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdviceV08 seev.041.001.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdvice002V06 seev.041.002.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionCancellationRequestStatusAdvice002V08 seev.041.002.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatementReportV02 seev.042.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatementReportV03 seev.042.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatementReportV04 seev.042.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatementReportV05 seev.042.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatementReportV06 seev.042.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatementReportV07 seev.042.001.07

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ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatementReport002V05 seev.042.002.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionInstructionStatementReport002V07 seev.042.002.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdviceV02 seev.044.001.02ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdviceV03 seev.044.001.03ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdviceV04 seev.044.001.04ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdviceV05 seev.044.001.05ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdviceV06 seev.044.001.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdviceV07 seev.044.001.07ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdviceV08 seev.044.001.08ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdvice002V06 seev.044.002.06ExternalFinancialInstrumentIdentificationType1Code CorporateActionMovementPreliminaryAdviceCancellationAdvice002V08 seev.044.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceCustodyReportV04 semt.002.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceCustodyReportV05 semt.002.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceCustodyReportV06 semt.002.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceCustodyReportV07 semt.002.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceCustodyReportV08 semt.002.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceCustodyReportV09 semt.002.001.09ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceCustodyReport002V09 semt.002.002.09ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceAccountingReportV04 semt.003.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceAccountingReportV05 semt.003.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceAccountingReportV06 semt.003.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceAccountingReportV07 semt.003.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceAccountingReportV08 semt.003.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceAccountingReportV09 semt.003.001.09ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceAccountingReport002V09 semt.003.002.09ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementInstructionV02 semt.013.001.02ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementInstructionV03 semt.013.001.03ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementInstructionV04 semt.013.001.04ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementInstruction002V04 semt.013.002.04ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementStatusAdviceV02 semt.014.001.02ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementStatusAdviceV03 semt.014.001.03ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementStatusAdviceV04 semt.014.001.04ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementStatusAdviceV05 semt.014.001.05ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementStatusAdvice002V04 semt.014.002.04ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementStatusAdvice002V05 semt.014.002.05ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmationV02 semt.015.001.02ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmationV03 semt.015.001.03ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmationV04 semt.015.001.04

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ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmationV05 semt.015.001.05ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmationV06 semt.015.001.06ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmationV07 semt.015.001.07ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmation002V05 semt.015.002.05ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmation002V06 semt.015.002.06ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementConfirmation002V07 semt.015.002.07ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReportV02 semt.016.001.02ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReportV03 semt.016.001.03ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReportV04 semt.016.001.04ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReportV05 semt.016.001.05ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReportV06 semt.016.001.06ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReportV07 semt.016.001.07ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReport002V05 semt.016.002.05ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReport002V06 semt.016.002.06ExternalFinancialInstrumentIdentificationType1Code IntraPositionMovementPostingReport002V07 semt.016.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReportV02 semt.017.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReportV03 semt.017.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReportV04 semt.017.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReportV05 semt.017.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReportV06 semt.017.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReportV07 semt.017.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReportV08 semt.017.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReport002V06 semt.017.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReport002V07 semt.017.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPostingReport002V08 semt.017.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReportV02 semt.018.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReportV03 semt.018.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReportV04 semt.018.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReportV05 semt.018.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReportV06 semt.018.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReportV07 semt.018.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReportV08 semt.018.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReportV09 semt.018.001.09ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReport002V07 semt.018.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReport002V08 semt.018.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionPendingReport002V09 semt.018.002.09ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReportV02 semt.019.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReportV03 semt.019.001.03

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ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReportV04 semt.019.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReportV05 semt.019.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReportV06 semt.019.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReportV07 semt.019.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReport002V05 semt.019.002.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReport002V06 semt.019.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementReport002V07 semt.019.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesStatementQueryV02 semt.021.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesStatementQueryV03 semt.021.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesStatementQueryV04 semt.021.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesStatementQueryV05 semt.021.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesStatementQueryV06 semt.021.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesStatementQuery002V06 semt.021.002.06ExternalFinancialInstrumentIdentificationType1Code TotalPortfolioValuationReportV01 semt.024.001.01ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceTransparencyReportV02 semt.041.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesBalanceTransparencyReportStatusAdviceV01 semt.042.001.01ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestV02 sese.020.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestV03 sese.020.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestV04 sese.020.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestV05 sese.020.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequest002V05 sese.020.002.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstructionV02 sese.023.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstructionV03 sese.023.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstructionV04 sese.023.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstructionV05 sese.023.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstructionV06 sese.023.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstructionV07 sese.023.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstructionV08 sese.023.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstruction002V06 sese.023.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstruction002V07 sese.023.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionInstruction002V08 sese.023.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdviceV02 sese.024.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdviceV03 sese.024.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdviceV04 sese.024.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdviceV05 sese.024.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdviceV06 sese.024.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdviceV07 sese.024.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdviceV08 sese.024.001.08

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ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdviceV09 sese.024.001.09ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdvice002V07 sese.024.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdvice002V08 sese.024.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionStatusAdvice002V09 sese.024.002.09ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmationV02 sese.025.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmationV03 sese.025.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmationV04 sese.025.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmationV05 sese.025.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmationV06 sese.025.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmationV07 sese.025.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmationV08 sese.025.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmation002V06 sese.025.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmation002V07 sese.025.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionConfirmation002V08 sese.025.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdviceV02 sese.026.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdviceV03 sese.026.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdviceV04 sese.026.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdviceV05 sese.026.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdviceV06 sese.026.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdviceV07 sese.026.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdvice002V05 sese.026.002.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdvice002V06 sese.026.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionReversalAdvice002V07 sese.026.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestStatusAdviceV02 sese.027.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestStatusAdviceV03 sese.027.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestStatusAdviceV04 sese.027.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestStatusAdviceV05 sese.027.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesTransactionCancellationRequestStatusAdvice002V05 sese.027.002.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotificationV02 sese.028.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotificationV03 sese.028.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotificationV04 sese.028.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotificationV05 sese.028.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotificationV06 sese.028.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotificationV07 sese.028.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotification002V05 sese.028.002.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotification002V06 sese.028.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionAllegementNotification002V07 sese.028.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementAllegementRemovalAdviceV02 sese.029.001.02

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ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementAllegementRemovalAdviceV03 sese.029.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementAllegementRemovalAdviceV04 sese.029.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementAllegementRemovalAdvice002V04 sese.029.002.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementConditionsModificationRequestV02 sese.030.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementConditionsModificationRequestV03 sese.030.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementConditionsModificationRequestV04 sese.030.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementConditionsModificationRequestV05 sese.030.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementConditionsModificationRequestV06 sese.030.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementConditionsModificationRequestV07 sese.030.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementConditionsModificationRequest002V06 sese.030.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementConditionsModificationRequest002V07 sese.030.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotificationV02 sese.032.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotificationV03 sese.032.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotificationV04 sese.032.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotificationV05 sese.032.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotificationV06 sese.032.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotificationV07 sese.032.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotificationV08 sese.032.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotification002V06 sese.032.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotification002V07 sese.032.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionGenerationNotification002V08 sese.032.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstructionV02 sese.033.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstructionV03 sese.033.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstructionV04 sese.033.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstructionV05 sese.033.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstructionV06 sese.033.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstructionV07 sese.033.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstructionV08 sese.033.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstruction002V06 sese.033.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstruction002V07 sese.033.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingInstruction002V08 sese.033.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingStatusAdviceV02 sese.034.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingStatusAdviceV03 sese.034.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingStatusAdviceV04 sese.034.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingStatusAdviceV05 sese.034.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingStatusAdviceV06 sese.034.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingStatusAdviceV07 sese.034.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingStatusAdvice002V06 sese.034.002.06

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ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingStatusAdvice002V07 sese.034.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmationV02 sese.035.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmationV03 sese.035.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmationV04 sese.035.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmationV05 sese.035.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmationV06 sese.035.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmationV07 sese.035.001.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmationV08 sese.035.001.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmation002V06 sese.035.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmation002V07 sese.035.002.07ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingConfirmation002V08 sese.035.002.08ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingModificationInstructionV02 sese.036.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingModificationInstructionV03 sese.036.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingModificationInstructionV04 sese.036.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingModificationInstructionV05 sese.036.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingModificationInstructionV06 sese.036.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingModificationInstruction002V05 sese.036.002.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesFinancingModificationInstruction002V06 sese.036.002.06ExternalFinancialInstrumentIdentificationType1Code PortfolioTransferNotificationV02 sese.037.001.02ExternalFinancialInstrumentIdentificationType1Code PortfolioTransferNotificationV03 sese.037.001.03ExternalFinancialInstrumentIdentificationType1Code PortfolioTransferNotificationV04 sese.037.001.04ExternalFinancialInstrumentIdentificationType1Code PortfolioTransferNotificationV05 sese.037.001.05ExternalFinancialInstrumentIdentificationType1Code PortfolioTransferNotification002V04 sese.037.002.04ExternalFinancialInstrumentIdentificationType1Code PortfolioTransferNotification002V05 sese.037.002.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestV01 sese.038.001.01ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestV02 sese.038.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestV03 sese.038.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestV04 sese.038.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestV05 sese.038.001.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestV06 sese.038.001.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequest002V04 sese.038.002.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequest002V05 sese.038.002.05ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequest002V06 sese.038.002.06ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestStatusAdviceV01 sese.039.001.01ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestStatusAdviceV02 sese.039.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestStatusAdviceV03 sese.039.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestStatusAdviceV04 sese.039.001.04ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionModificationRequestStatusAdvice002V04 sese.039.002.04

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ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionCounterpartyResponseV01 sese.040.001.01ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionCounterpartyResponseV02 sese.040.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesSettlementTransactionCounterpartyResponse002V02 sese.040.002.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesTradeConfirmationV01 setr.027.001.01ExternalFinancialInstrumentIdentificationType1Code SecuritiesTradeConfirmationV02 setr.027.001.02ExternalFinancialInstrumentIdentificationType1Code SecuritiesTradeConfirmationV03 setr.027.001.03ExternalFinancialInstrumentIdentificationType1Code SecuritiesTradeConfirmationStatusAdviceV01 setr.044.001.01ExternalFinancialInstrumentIdentificationType1Code SecuritiesTradeConfirmationStatusAdviceV02 setr.044.001.02ExternalGarnishmentType1Code UnableToApplyV06 camt.026.001.06ExternalGarnishmentType1Code ClaimNonReceiptV06 camt.027.001.06ExternalGarnishmentType1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalGarnishmentType1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalGarnishmentType1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalGarnishmentType1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalGarnishmentType1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalGarnishmentType1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalGarnishmentType1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalGarnishmentType1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalGarnishmentType1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalGarnishmentType1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalGarnishmentType1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalGarnishmentType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalGarnishmentType1Code BankToCustomerStatementV05 camt.053.001.05ExternalGarnishmentType1Code BankToCustomerStatementV06 camt.053.001.06ExternalGarnishmentType1Code BankToCustomerStatementV07 camt.053.001.07ExternalGarnishmentType1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalGarnishmentType1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalGarnishmentType1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalGarnishmentType1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalGarnishmentType1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalGarnishmentType1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalGarnishmentType1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalGarnishmentType1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalGarnishmentType1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalGarnishmentType1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalGarnishmentType1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalGarnishmentType1Code NotificationToReceiveV04 camt.057.001.04ExternalGarnishmentType1Code NotificationToReceiveV05 camt.057.001.05

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ExternalGarnishmentType1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalGarnishmentType1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalGarnishmentType1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalGarnishmentType1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalGarnishmentType1Code RequestToModifyPaymentV02 camt.087.001.02ExternalGarnishmentType1Code RequestToModifyPaymentV03 camt.087.001.03ExternalGarnishmentType1Code RequestToModifyPaymentV04 camt.087.001.04ExternalGarnishmentType1Code RequestToModifyPaymentV05 camt.087.001.05ExternalGarnishmentType1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalGarnishmentType1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalGarnishmentType1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalGarnishmentType1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalGarnishmentType1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalGarnishmentType1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalGarnishmentType1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalGarnishmentType1Code PaymentReturnV05 pacs.004.001.05ExternalGarnishmentType1Code PaymentReturnV06 pacs.004.001.06ExternalGarnishmentType1Code PaymentReturnV07 pacs.004.001.07ExternalGarnishmentType1Code PaymentReturnV08 pacs.004.001.08ExternalGarnishmentType1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalGarnishmentType1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalGarnishmentType1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalGarnishmentType1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalGarnishmentType1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalGarnishmentType1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalGarnishmentType1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalGarnishmentType1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalGarnishmentType1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalGarnishmentType1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalGarnishmentType1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalGarnishmentType1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalGarnishmentType1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalGarnishmentType1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalGarnishmentType1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalGarnishmentType1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalGarnishmentType1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalGarnishmentType1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalGarnishmentType1Code CustomerPaymentStatusReportV09 pain.002.001.09

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ExternalGarnishmentType1Code CustomerPaymentReversalV05 pain.007.001.05ExternalGarnishmentType1Code CustomerPaymentReversalV06 pain.007.001.06ExternalGarnishmentType1Code CustomerPaymentReversalV07 pain.007.001.07ExternalGarnishmentType1Code CustomerPaymentReversalV08 pain.007.001.08ExternalGarnishmentType1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalGarnishmentType1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalGarnishmentType1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalGarnishmentType1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalGarnishmentType1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalGarnishmentType1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalGarnishmentType1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalGarnishmentType1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalGarnishmentType1Code RemittanceAdviceV01 remt.001.001.01ExternalGarnishmentType1Code RemittanceAdviceV02 remt.001.001.02ExternalGarnishmentType1Code RemittanceAdviceV03 remt.001.001.03ExternalIncoterms1Code AcceptorAuthorisationRequestV03 caaa.001.001.03ExternalIncoterms1Code AcceptorAuthorisationRequestV04 caaa.001.001.04ExternalIncoterms1Code AcceptorAuthorisationRequestV05 caaa.001.001.05ExternalIncoterms1Code AcceptorAuthorisationRequestV06 caaa.001.001.06ExternalIncoterms1Code AcceptorAuthorisationRequestV07 caaa.001.001.07ExternalIncoterms1Code AcceptorCompletionAdviceV03 caaa.003.001.03ExternalIncoterms1Code AcceptorCompletionAdviceV04 caaa.003.001.04ExternalIncoterms1Code AcceptorCompletionAdviceV05 caaa.003.001.05ExternalIncoterms1Code AcceptorCompletionAdviceV06 caaa.003.001.06ExternalIncoterms1Code AcceptorCompletionAdviceV07 caaa.003.001.07ExternalIncoterms1Code AcceptorBatchTransferV03 caaa.011.001.03ExternalIncoterms1Code AcceptorBatchTransferV04 caaa.011.001.04ExternalIncoterms1Code AcceptorBatchTransferV05 caaa.011.001.05ExternalIncoterms1Code AcceptorBatchTransferV06 caaa.011.001.06ExternalIncoterms1Code AcceptorBatchTransferV07 caaa.011.001.07ExternalIncoterms1Code FinancialInvoiceV01 tsin.004.001.01ExternalIncoterms1Code BaselineAmendmentRequestV04 tsmt.009.001.04ExternalIncoterms1Code BaselineAmendmentRequestV05 tsmt.009.001.05ExternalIncoterms1Code BaselineReSubmissionV04 tsmt.012.001.04ExternalIncoterms1Code BaselineReSubmissionV05 tsmt.012.001.05ExternalIncoterms1Code DataSetSubmissionV04 tsmt.014.001.04ExternalIncoterms1Code DataSetSubmissionV05 tsmt.014.001.05ExternalIncoterms1Code ForwardDataSetSubmissionReportV04 tsmt.017.001.04

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ExternalIncoterms1Code ForwardDataSetSubmissionReportV05 tsmt.017.001.05ExternalIncoterms1Code FullPushThroughReportV04 tsmt.018.001.04ExternalIncoterms1Code FullPushThroughReportV05 tsmt.018.001.05ExternalIncoterms1Code InitialBaselineSubmissionV04 tsmt.019.001.04ExternalIncoterms1Code InitialBaselineSubmissionV05 tsmt.019.001.05ExternalInformationType1Code AcceptorAuthorisationRequestV03 caaa.001.001.03ExternalInformationType1Code AcceptorAuthorisationRequestV04 caaa.001.001.04ExternalInformationType1Code AcceptorAuthorisationRequestV05 caaa.001.001.05ExternalInformationType1Code AcceptorAuthorisationRequestV06 caaa.001.001.06ExternalInformationType1Code AcceptorAuthorisationRequestV07 caaa.001.001.07ExternalInformationType1Code AcceptorCompletionAdviceV03 caaa.003.001.03ExternalInformationType1Code AcceptorCompletionAdviceV04 caaa.003.001.04ExternalInformationType1Code AcceptorCompletionAdviceV05 caaa.003.001.05ExternalInformationType1Code AcceptorCompletionAdviceV06 caaa.003.001.06ExternalInformationType1Code AcceptorCompletionAdviceV07 caaa.003.001.07ExternalInformationType1Code AcceptorBatchTransferV03 caaa.011.001.03ExternalInformationType1Code AcceptorBatchTransferV04 caaa.011.001.04ExternalInformationType1Code AcceptorBatchTransferV05 caaa.011.001.05ExternalInformationType1Code AcceptorBatchTransferV06 caaa.011.001.06ExternalInformationType1Code AcceptorBatchTransferV07 caaa.011.001.07ExternalInformationType1Code FinancialInvoiceV01 tsin.004.001.01ExternalInvestigationExecutionConfirmation1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalLocalInstrument1Code RequestToModifyPaymentV03 camt.007.002.03ExternalLocalInstrument1Code UnableToApplyV06 camt.026.001.06ExternalLocalInstrument1Code ClaimNonReceiptV06 camt.027.001.06ExternalLocalInstrument1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalLocalInstrument1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalLocalInstrument1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalLocalInstrument1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalLocalInstrument1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalLocalInstrument1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalLocalInstrument1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalLocalInstrument1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalLocalInstrument1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalLocalInstrument1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalLocalInstrument1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalLocalInstrument1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalLocalInstrument1Code DebitAuthorisationRequestV06 camt.037.001.06

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ExternalLocalInstrument1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalLocalInstrument1Code BankToCustomerStatementV07 camt.053.001.07ExternalLocalInstrument1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalLocalInstrument1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalLocalInstrument1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalLocalInstrument1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalLocalInstrument1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalLocalInstrument1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalLocalInstrument1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalLocalInstrument1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalLocalInstrument1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalLocalInstrument1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalLocalInstrument1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalLocalInstrument1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalLocalInstrument1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalLocalInstrument1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalLocalInstrument1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalLocalInstrument1Code RequestToModifyPaymentV01 camt.087.001.01ExternalLocalInstrument1Code RequestToModifyPaymentV02 camt.087.001.02ExternalLocalInstrument1Code RequestToModifyPaymentV03 camt.087.001.03ExternalLocalInstrument1Code RequestToModifyPaymentV04 camt.087.001.04ExternalLocalInstrument1Code RequestToModifyPaymentV05 camt.087.001.05ExternalLocalInstrument1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalLocalInstrument1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalLocalInstrument1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalLocalInstrument1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalLocalInstrument1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalLocalInstrument1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalLocalInstrument1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalLocalInstrument1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalLocalInstrument1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalLocalInstrument1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalLocalInstrument1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalLocalInstrument1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalLocalInstrument1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalLocalInstrument1Code PaymentReturnV02 pacs.004.001.02ExternalLocalInstrument1Code PaymentReturnV03 pacs.004.001.03ExternalLocalInstrument1Code PaymentReturnV04 pacs.004.001.04

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ExternalLocalInstrument1Code PaymentReturnV05 pacs.004.001.05ExternalLocalInstrument1Code PaymentReturnV06 pacs.004.001.06ExternalLocalInstrument1Code PaymentReturnV07 pacs.004.001.07ExternalLocalInstrument1Code PaymentReturnV08 pacs.004.001.08ExternalLocalInstrument1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalLocalInstrument1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalLocalInstrument1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalLocalInstrument1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalLocalInstrument1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalLocalInstrument1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalLocalInstrument1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalLocalInstrument1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalLocalInstrument1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalLocalInstrument1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalLocalInstrument1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalLocalInstrument1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalLocalInstrument1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalLocalInstrument1Code FinancialInstitutionCreditTransferV02 pacs.009.001.02ExternalLocalInstrument1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalLocalInstrument1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalLocalInstrument1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalLocalInstrument1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalLocalInstrument1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalLocalInstrument1Code FinancialInstitutionDirectDebitV02 pacs.010.001.02ExternalLocalInstrument1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalLocalInstrument1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalLocalInstrument1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalLocalInstrument1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalLocalInstrument1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalLocalInstrument1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalLocalInstrument1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalLocalInstrument1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalLocalInstrument1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalLocalInstrument1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalLocalInstrument1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalLocalInstrument1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalLocalInstrument1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalLocalInstrument1Code CustomerPaymentStatusReportV08 pain.002.001.08

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ExternalLocalInstrument1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalLocalInstrument1Code CustomerPaymentReversalV02 pain.007.001.02ExternalLocalInstrument1Code CustomerPaymentReversalV03 pain.007.001.03ExternalLocalInstrument1Code CustomerPaymentReversalV04 pain.007.001.04ExternalLocalInstrument1Code CustomerPaymentReversalV05 pain.007.001.05ExternalLocalInstrument1Code CustomerPaymentReversalV06 pain.007.001.06ExternalLocalInstrument1Code CustomerPaymentReversalV07 pain.007.001.07ExternalLocalInstrument1Code CustomerPaymentReversalV08 pain.007.001.08ExternalLocalInstrument1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalLocalInstrument1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalLocalInstrument1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalLocalInstrument1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalLocalInstrument1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalLocalInstrument1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalLocalInstrument1Code MandateInitiationRequestV01 pain.009.001.01ExternalLocalInstrument1Code MandateInitiationRequestV02 pain.009.001.02ExternalLocalInstrument1Code MandateInitiationRequestV03 pain.009.001.03ExternalLocalInstrument1Code MandateInitiationRequestV04 pain.009.001.04ExternalLocalInstrument1Code MandateInitiationRequestV05 pain.009.001.05ExternalLocalInstrument1Code MandateAmendmentRequestV01 pain.010.001.01ExternalLocalInstrument1Code MandateAmendmentRequestV02 pain.010.001.02ExternalLocalInstrument1Code MandateAmendmentRequestV03 pain.010.001.03ExternalLocalInstrument1Code MandateAmendmentRequestV04 pain.010.001.04ExternalLocalInstrument1Code MandateAmendmentRequestV05 pain.010.001.05ExternalLocalInstrument1Code MandateCancellationRequestV01 pain.011.001.01ExternalLocalInstrument1Code MandateCancellationRequestV02 pain.011.001.02ExternalLocalInstrument1Code MandateCancellationRequestV03 pain.011.001.03ExternalLocalInstrument1Code MandateCancellationRequestV04 pain.011.001.04ExternalLocalInstrument1Code MandateCancellationRequestV05 pain.011.001.05ExternalLocalInstrument1Code MandateAcceptanceReportV01 pain.012.001.01ExternalLocalInstrument1Code MandateAcceptanceReportV02 pain.012.001.02ExternalLocalInstrument1Code MandateAcceptanceReportV03 pain.012.001.03ExternalLocalInstrument1Code MandateAcceptanceReportV04 pain.012.001.04ExternalLocalInstrument1Code MandateAcceptanceReportV05 pain.012.001.05ExternalLocalInstrument1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalLocalInstrument1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalLocalInstrument1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalLocalInstrument1Code CreditorPaymentActivationRequestV04 pain.013.001.04

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ExternalLocalInstrument1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalLocalInstrument1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalLocalInstrument1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalLocalInstrument1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalLocalInstrument1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalLocalInstrument1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalLocalInstrument1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalLocalInstrument1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalLocalInstrument1Code MandateCopyRequestV01 pain.017.001.01ExternalLocalInstrument1Code MandateSuspensionRequestV01 pain.018.001.01ExternalLocalInstrument1Code RemittanceAdviceV01 remt.001.001.01ExternalLocalInstrument1Code RemittanceAdviceV02 remt.001.001.02ExternalLocalInstrument1Code RemittanceAdviceV03 remt.001.001.03ExternalLocalInstrument1Code FinancialInvoiceV01 tsin.004.001.01ExternalLocalInstrument1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalLocalInstrument1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalLocalInstrument1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalLocalInstrument1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalLocalInstrument1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalLocalInstrument1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalMandateReason1Code MandateAmendmentRequestV01 pain.010.001.01ExternalMandateReason1Code MandateAmendmentRequestV02 pain.010.001.02ExternalMandateReason1Code MandateAmendmentRequestV03 pain.010.001.03ExternalMandateReason1Code MandateAmendmentRequestV04 pain.010.001.04ExternalMandateReason1Code MandateAmendmentRequestV05 pain.010.001.05ExternalMandateReason1Code MandateCancellationRequestV01 pain.011.001.01ExternalMandateReason1Code MandateCancellationRequestV02 pain.011.001.02ExternalMandateReason1Code MandateCancellationRequestV03 pain.011.001.03ExternalMandateReason1Code MandateCancellationRequestV04 pain.011.001.04ExternalMandateReason1Code MandateCancellationRequestV05 pain.011.001.05ExternalMandateReason1Code MandateAcceptanceReportV01 pain.012.001.01ExternalMandateReason1Code MandateAcceptanceReportV02 pain.012.001.02ExternalMandateReason1Code MandateAcceptanceReportV03 pain.012.001.03ExternalMandateReason1Code MandateAcceptanceReportV04 pain.012.001.04ExternalMandateReason1Code MandateAcceptanceReportV05 pain.012.001.05ExternalMandateSetupReason1Code UnableToApplyV06 camt.026.001.06ExternalMandateSetupReason1Code ClaimNonReceiptV06 camt.027.001.06ExternalMandateSetupReason1Code AdditionalPaymentInformationV08 camt.028.001.08

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ExternalMandateSetupReason1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalMandateSetupReason1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalMandateSetupReason1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalMandateSetupReason1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalMandateSetupReason1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalMandateSetupReason1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalMandateSetupReason1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalMandateSetupReason1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalMandateSetupReason1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalMandateSetupReason1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalMandateSetupReason1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalMandateSetupReason1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalMandateSetupReason1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalMandateSetupReason1Code RequestToModifyPaymentV05 camt.087.001.05ExternalMandateSetupReason1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalMandateSetupReason1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalMandateSetupReason1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalMandateSetupReason1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalMandateSetupReason1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalMandateSetupReason1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalMandateSetupReason1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalMandateSetupReason1Code PaymentReturnV05 pacs.004.001.05ExternalMandateSetupReason1Code PaymentReturnV06 pacs.004.001.06ExternalMandateSetupReason1Code PaymentReturnV07 pacs.004.001.07ExternalMandateSetupReason1Code PaymentReturnV08 pacs.004.001.08ExternalMandateSetupReason1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalMandateSetupReason1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalMandateSetupReason1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalMandateSetupReason1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalMandateSetupReason1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalMandateSetupReason1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalMandateSetupReason1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalMandateSetupReason1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalMandateSetupReason1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalMandateSetupReason1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalMandateSetupReason1Code CustomerPaymentReversalV05 pain.007.001.05ExternalMandateSetupReason1Code CustomerPaymentReversalV06 pain.007.001.06ExternalMandateSetupReason1Code CustomerPaymentReversalV07 pain.007.001.07

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ExternalMandateSetupReason1Code CustomerPaymentReversalV08 pain.007.001.08ExternalMandateSetupReason1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalMandateSetupReason1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalMandateSetupReason1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalMandateSetupReason1Code MandateInitiationRequestV04 pain.009.001.04ExternalMandateSetupReason1Code MandateInitiationRequestV05 pain.009.001.05ExternalMandateSetupReason1Code MandateAmendmentRequestV04 pain.010.001.04ExternalMandateSetupReason1Code MandateAmendmentRequestV05 pain.010.001.05ExternalMandateSetupReason1Code MandateCancellationRequestV04 pain.011.001.04ExternalMandateSetupReason1Code MandateCancellationRequestV05 pain.011.001.05ExternalMandateSetupReason1Code MandateAcceptanceReportV04 pain.012.001.04ExternalMandateSetupReason1Code MandateAcceptanceReportV05 pain.012.001.05ExternalMandateSetupReason1Code MandateCopyRequestV01 pain.017.001.01ExternalMandateSetupReason1Code MandateSuspensionRequestV01 pain.018.001.01ExternalMandateStatus1Code MandateCopyRequestV01 pain.017.001.01ExternalMandateSuspensionReason1Code MandateSuspensionRequestV01 pain.018.001.01ExternalMarketArea1Code StandingSettlementInstructionV01 reda.056.001.01ExternalMarketArea1Code StandingSettlementInstructionDeletionV01 reda.057.001.01ExternalMarketArea1Code StandingSettlementInstructionStatusAdviceV01 reda.058.001.01ExternalMarketArea1Code StandingSettlementInstructionCancellationV01 reda.059.001.01ExternalModelFormIdentification1Code UndertakingApplicationV01 tsin.005.001.01ExternalModelFormIdentification1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalModelFormIdentification1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalModelFormIdentification1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalNarrativeType1Code UndertakingApplicationV01 tsin.005.001.01ExternalNarrativeType1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalNarrativeType1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalNarrativeType1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalNarrativeType1Code UndertakingAmendmentRequestV01 tsrv.004.001.01ExternalNarrativeType1Code UndertakingAmendmentV01 tsrv.005.001.01ExternalNarrativeType1Code UndertakingAmendmentAdviceV01 tsrv.006.001.01ExternalNarrativeType1Code UndertakingAmendmentNotificationV01 tsrv.007.001.01ExternalOrganisationIdentification1Code AccountOpeningRequestV01 acmt.007.001.01ExternalOrganisationIdentification1Code AccountOpeningRequestV02 acmt.007.001.02ExternalOrganisationIdentification1Code AccountOpeningAmendmentRequestV01 acmt.008.001.01ExternalOrganisationIdentification1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalOrganisationIdentification1Code AccountOpeningAdditionalInformationRequestV01 acmt.009.001.01ExternalOrganisationIdentification1Code AccountOpeningAdditionalInformationRequestV02 acmt.009.001.02

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ExternalOrganisationIdentification1Code AccountRequestAcknowledgementV01 acmt.010.001.01ExternalOrganisationIdentification1Code AccountRequestAcknowledgementV02 acmt.010.001.02ExternalOrganisationIdentification1Code AccountRequestRejectionV01 acmt.011.001.01ExternalOrganisationIdentification1Code AccountRequestRejectionV02 acmt.011.001.02ExternalOrganisationIdentification1Code AccountAdditionalInformationRequestV01 acmt.012.001.01ExternalOrganisationIdentification1Code AccountAdditionalInformationRequestV02 acmt.012.001.02ExternalOrganisationIdentification1Code AccountReportRequestV01 acmt.013.001.01ExternalOrganisationIdentification1Code AccountReportRequestV02 acmt.013.001.02ExternalOrganisationIdentification1Code AccountReportV01 acmt.014.001.01ExternalOrganisationIdentification1Code AccountReportV02 acmt.014.001.02ExternalOrganisationIdentification1Code AccountExcludedMandateMaintenanceRequestV01 acmt.015.001.01ExternalOrganisationIdentification1Code AccountExcludedMandateMaintenanceRequestV02 acmt.015.001.02ExternalOrganisationIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV01 acmt.016.001.01ExternalOrganisationIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV02 acmt.016.001.02ExternalOrganisationIdentification1Code AccountMandateMaintenanceRequestV01 acmt.017.001.01ExternalOrganisationIdentification1Code AccountMandateMaintenanceRequestV02 acmt.017.001.02ExternalOrganisationIdentification1Code AccountMandateMaintenanceAmendmentRequestV01 acmt.018.001.01ExternalOrganisationIdentification1Code AccountMandateMaintenanceAmendmentRequestV02 acmt.018.001.02ExternalOrganisationIdentification1Code AccountClosingRequestV01 acmt.019.001.01ExternalOrganisationIdentification1Code AccountClosingRequestV02 acmt.019.001.02ExternalOrganisationIdentification1Code AccountClosingAmendmentRequestV01 acmt.020.001.01ExternalOrganisationIdentification1Code AccountClosingAmendmentRequestV02 acmt.020.001.02ExternalOrganisationIdentification1Code AccountClosingAdditionalInformationRequestV01 acmt.021.001.01ExternalOrganisationIdentification1Code AccountClosingAdditionalInformationRequestV02 acmt.021.001.02ExternalOrganisationIdentification1Code IdentificationModificationAdviceV01 acmt.022.001.01ExternalOrganisationIdentification1Code IdentificationModificationAdviceV02 acmt.022.001.02ExternalOrganisationIdentification1Code IdentificationVerificationRequestV01 acmt.023.001.01ExternalOrganisationIdentification1Code IdentificationVerificationRequestV02 acmt.023.001.02ExternalOrganisationIdentification1Code IdentificationVerificationReportV01 acmt.024.001.01ExternalOrganisationIdentification1Code IdentificationVerificationReportV02 acmt.024.001.02ExternalOrganisationIdentification1Code InformationRequestOpeningV01 auth.001.001.01ExternalOrganisationIdentification1Code InformationRequestResponseV01 auth.002.001.01ExternalOrganisationIdentification1Code ContractRegistrationRequestV01 auth.018.001.01ExternalOrganisationIdentification1Code ContractRegistrationConfirmationV01 auth.019.001.01ExternalOrganisationIdentification1Code ContractRegistrationClosureRequestV01 auth.020.001.01ExternalOrganisationIdentification1Code ContractRegistrationAmendmentRequestV01 auth.021.001.01ExternalOrganisationIdentification1Code ContractRegistrationStatementV01 auth.022.001.01ExternalOrganisationIdentification1Code ContractRegistrationStatementRequestV01 auth.023.001.01

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ExternalOrganisationIdentification1Code PaymentRegulatoryInformationNotificationV01 auth.024.001.01ExternalOrganisationIdentification1Code CurrencyControlSupportingDocumentDeliveryV01 auth.025.001.01ExternalOrganisationIdentification1Code CurrencyControlRequestOrLetterV01 auth.026.001.01ExternalOrganisationIdentification1Code CurrencyControlStatusAdviceV01 auth.027.001.01ExternalOrganisationIdentification1Code InvoiceTaxReportV01 auth.034.001.01ExternalOrganisationIdentification1Code AcceptorAuthorisationRequestV03 caaa.001.001.03ExternalOrganisationIdentification1Code AcceptorAuthorisationRequestV04 caaa.001.001.04ExternalOrganisationIdentification1Code AcceptorAuthorisationRequestV05 caaa.001.001.05ExternalOrganisationIdentification1Code AcceptorAuthorisationRequestV06 caaa.001.001.06ExternalOrganisationIdentification1Code AcceptorAuthorisationRequestV07 caaa.001.001.07ExternalOrganisationIdentification1Code AcceptorCompletionAdviceV03 caaa.003.001.03ExternalOrganisationIdentification1Code AcceptorCompletionAdviceV04 caaa.003.001.04ExternalOrganisationIdentification1Code AcceptorCompletionAdviceV05 caaa.003.001.05ExternalOrganisationIdentification1Code AcceptorCompletionAdviceV06 caaa.003.001.06ExternalOrganisationIdentification1Code AcceptorCompletionAdviceV07 caaa.003.001.07ExternalOrganisationIdentification1Code AcceptorBatchTransferV03 caaa.011.001.03ExternalOrganisationIdentification1Code AcceptorBatchTransferV04 caaa.011.001.04ExternalOrganisationIdentification1Code AcceptorBatchTransferV05 caaa.011.001.05ExternalOrganisationIdentification1Code AcceptorBatchTransferV06 caaa.011.001.06ExternalOrganisationIdentification1Code AcceptorBatchTransferV07 caaa.011.001.07ExternalOrganisationIdentification1Code RequestToModifyPaymentV03 camt.007.002.03ExternalOrganisationIdentification1Code UnableToApplyV03 camt.026.001.03ExternalOrganisationIdentification1Code UnableToApplyV04 camt.026.001.04ExternalOrganisationIdentification1Code UnableToApplyV05 camt.026.001.05ExternalOrganisationIdentification1Code UnableToApplyV06 camt.026.001.06ExternalOrganisationIdentification1Code ClaimNonReceiptV03 camt.027.001.03ExternalOrganisationIdentification1Code ClaimNonReceiptV04 camt.027.001.04ExternalOrganisationIdentification1Code ClaimNonReceiptV05 camt.027.001.05ExternalOrganisationIdentification1Code ClaimNonReceiptV06 camt.027.001.06ExternalOrganisationIdentification1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalOrganisationIdentification1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalOrganisationIdentification1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalOrganisationIdentification1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalOrganisationIdentification1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalOrganisationIdentification1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalOrganisationIdentification1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalOrganisationIdentification1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalOrganisationIdentification1Code ResolutionOfInvestigationV05 camt.029.001.05

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ExternalOrganisationIdentification1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalOrganisationIdentification1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalOrganisationIdentification1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalOrganisationIdentification1Code NotificationOfCaseAssignmentV03 camt.030.001.03ExternalOrganisationIdentification1Code NotificationOfCaseAssignmentV04 camt.030.001.04ExternalOrganisationIdentification1Code RejectInvestigationV03 camt.031.001.03ExternalOrganisationIdentification1Code RejectInvestigationV04 camt.031.001.04ExternalOrganisationIdentification1Code RejectInvestigationV05 camt.031.001.05ExternalOrganisationIdentification1Code CancelCaseAssignmentV02 camt.032.001.02ExternalOrganisationIdentification1Code CancelCaseAssignmentV03 camt.032.001.03ExternalOrganisationIdentification1Code RequestForDuplicateV03 camt.033.001.03ExternalOrganisationIdentification1Code RequestForDuplicateV04 camt.033.001.04ExternalOrganisationIdentification1Code RequestForDuplicateV05 camt.033.001.05ExternalOrganisationIdentification1Code DuplicateV03 camt.034.001.03ExternalOrganisationIdentification1Code DuplicateV04 camt.034.001.04ExternalOrganisationIdentification1Code DuplicateV05 camt.034.001.05ExternalOrganisationIdentification1Code ProprietaryFormatInvestigationV02 camt.035.001.02ExternalOrganisationIdentification1Code ProprietaryFormatInvestigationV03 camt.035.001.03ExternalOrganisationIdentification1Code ProprietaryFormatInvestigationV04 camt.035.001.04ExternalOrganisationIdentification1Code DebitAuthorisationResponseV02 camt.036.001.02ExternalOrganisationIdentification1Code DebitAuthorisationResponseV03 camt.036.001.03ExternalOrganisationIdentification1Code DebitAuthorisationResponseV04 camt.036.001.04ExternalOrganisationIdentification1Code DebitAuthorisationRequestV03 camt.037.001.03ExternalOrganisationIdentification1Code DebitAuthorisationRequestV04 camt.037.001.04ExternalOrganisationIdentification1Code DebitAuthorisationRequestV05 camt.037.001.05ExternalOrganisationIdentification1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalOrganisationIdentification1Code CaseStatusReportRequestV02 camt.038.001.02ExternalOrganisationIdentification1Code CaseStatusReportRequestV03 camt.038.001.03ExternalOrganisationIdentification1Code CaseStatusReportV03 camt.039.001.03ExternalOrganisationIdentification1Code CaseStatusReportV04 camt.039.001.04ExternalOrganisationIdentification1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalOrganisationIdentification1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalOrganisationIdentification1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalOrganisationIdentification1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalOrganisationIdentification1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalOrganisationIdentification1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalOrganisationIdentification1Code BankToCustomerStatementV02 camt.053.001.02ExternalOrganisationIdentification1Code BankToCustomerStatementV03 camt.053.001.03

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ExternalOrganisationIdentification1Code BankToCustomerStatementV04 camt.053.001.04ExternalOrganisationIdentification1Code BankToCustomerStatementV05 camt.053.001.05ExternalOrganisationIdentification1Code BankToCustomerStatementV06 camt.053.001.06ExternalOrganisationIdentification1Code BankToCustomerStatementV07 camt.053.001.07ExternalOrganisationIdentification1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalOrganisationIdentification1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalOrganisationIdentification1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalOrganisationIdentification1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalOrganisationIdentification1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalOrganisationIdentification1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalOrganisationIdentification1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalOrganisationIdentification1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalOrganisationIdentification1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalOrganisationIdentification1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalOrganisationIdentification1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalOrganisationIdentification1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalOrganisationIdentification1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalOrganisationIdentification1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalOrganisationIdentification1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalOrganisationIdentification1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalOrganisationIdentification1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalOrganisationIdentification1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalOrganisationIdentification1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalOrganisationIdentification1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalOrganisationIdentification1Code NotificationToReceiveV02 camt.057.001.02ExternalOrganisationIdentification1Code NotificationToReceiveV03 camt.057.001.03ExternalOrganisationIdentification1Code NotificationToReceiveV04 camt.057.001.04ExternalOrganisationIdentification1Code NotificationToReceiveV05 camt.057.001.05ExternalOrganisationIdentification1Code NotificationToReceiveCancellationAdviceV02 camt.058.001.02ExternalOrganisationIdentification1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalOrganisationIdentification1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalOrganisationIdentification1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalOrganisationIdentification1Code NotificationToReceiveStatusReportV02 camt.059.001.02ExternalOrganisationIdentification1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalOrganisationIdentification1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalOrganisationIdentification1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalOrganisationIdentification1Code AccountReportingRequestV02 camt.060.001.02ExternalOrganisationIdentification1Code AccountReportingRequestV03 camt.060.001.03

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ExternalOrganisationIdentification1Code AccountReportingRequestV04 camt.060.001.04ExternalOrganisationIdentification1Code BankServicesBillingStatementV01 camt.086.001.01ExternalOrganisationIdentification1Code BankServicesBillingStatementV02 camt.086.001.02ExternalOrganisationIdentification1Code RequestToModifyPaymentV01 camt.087.001.01ExternalOrganisationIdentification1Code RequestToModifyPaymentV02 camt.087.001.02ExternalOrganisationIdentification1Code RequestToModifyPaymentV03 camt.087.001.03ExternalOrganisationIdentification1Code RequestToModifyPaymentV04 camt.087.001.04ExternalOrganisationIdentification1Code RequestToModifyPaymentV05 camt.087.001.05ExternalOrganisationIdentification1Code BusinessApplicationHeaderV01 head.001.001.01ExternalOrganisationIdentification1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalOrganisationIdentification1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalOrganisationIdentification1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalOrganisationIdentification1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalOrganisationIdentification1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalOrganisationIdentification1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalOrganisationIdentification1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalOrganisationIdentification1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalOrganisationIdentification1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalOrganisationIdentification1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalOrganisationIdentification1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalOrganisationIdentification1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalOrganisationIdentification1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalOrganisationIdentification1Code PaymentReturnV02 pacs.004.001.02ExternalOrganisationIdentification1Code PaymentReturnV03 pacs.004.001.03ExternalOrganisationIdentification1Code PaymentReturnV04 pacs.004.001.04ExternalOrganisationIdentification1Code PaymentReturnV05 pacs.004.001.05ExternalOrganisationIdentification1Code PaymentReturnV06 pacs.004.001.06ExternalOrganisationIdentification1Code PaymentReturnV07 pacs.004.001.07ExternalOrganisationIdentification1Code PaymentReturnV08 pacs.004.001.08ExternalOrganisationIdentification1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalOrganisationIdentification1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalOrganisationIdentification1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalOrganisationIdentification1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalOrganisationIdentification1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalOrganisationIdentification1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalOrganisationIdentification1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalOrganisationIdentification1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalOrganisationIdentification1Code FIToFICustomerCreditTransferV03 pacs.008.001.03

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ExternalOrganisationIdentification1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalOrganisationIdentification1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalOrganisationIdentification1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalOrganisationIdentification1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalOrganisationIdentification1Code FinancialInstitutionCreditTransferV02 pacs.009.001.02ExternalOrganisationIdentification1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalOrganisationIdentification1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalOrganisationIdentification1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalOrganisationIdentification1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalOrganisationIdentification1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalOrganisationIdentification1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalOrganisationIdentification1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalOrganisationIdentification1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalOrganisationIdentification1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalOrganisationIdentification1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalOrganisationIdentification1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalOrganisationIdentification1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalOrganisationIdentification1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalOrganisationIdentification1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalOrganisationIdentification1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalOrganisationIdentification1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalOrganisationIdentification1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalOrganisationIdentification1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalOrganisationIdentification1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalOrganisationIdentification1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalOrganisationIdentification1Code CustomerPaymentReversalV02 pain.007.001.02ExternalOrganisationIdentification1Code CustomerPaymentReversalV03 pain.007.001.03ExternalOrganisationIdentification1Code CustomerPaymentReversalV04 pain.007.001.04ExternalOrganisationIdentification1Code CustomerPaymentReversalV05 pain.007.001.05ExternalOrganisationIdentification1Code CustomerPaymentReversalV06 pain.007.001.06ExternalOrganisationIdentification1Code CustomerPaymentReversalV07 pain.007.001.07ExternalOrganisationIdentification1Code CustomerPaymentReversalV08 pain.007.001.08ExternalOrganisationIdentification1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalOrganisationIdentification1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalOrganisationIdentification1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalOrganisationIdentification1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalOrganisationIdentification1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalOrganisationIdentification1Code CustomerDirectDebitInitiationV07 pain.008.001.07

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ExternalOrganisationIdentification1Code MandateInitiationRequestV01 pain.009.001.01ExternalOrganisationIdentification1Code MandateInitiationRequestV02 pain.009.001.02ExternalOrganisationIdentification1Code MandateInitiationRequestV03 pain.009.001.03ExternalOrganisationIdentification1Code MandateInitiationRequestV04 pain.009.001.04ExternalOrganisationIdentification1Code MandateInitiationRequestV05 pain.009.001.05ExternalOrganisationIdentification1Code MandateAmendmentRequestV01 pain.010.001.01ExternalOrganisationIdentification1Code MandateAmendmentRequestV02 pain.010.001.02ExternalOrganisationIdentification1Code MandateAmendmentRequestV03 pain.010.001.03ExternalOrganisationIdentification1Code MandateAmendmentRequestV04 pain.010.001.04ExternalOrganisationIdentification1Code MandateAmendmentRequestV05 pain.010.001.05ExternalOrganisationIdentification1Code MandateCancellationRequestV01 pain.011.001.01ExternalOrganisationIdentification1Code MandateCancellationRequestV02 pain.011.001.02ExternalOrganisationIdentification1Code MandateCancellationRequestV03 pain.011.001.03ExternalOrganisationIdentification1Code MandateCancellationRequestV04 pain.011.001.04ExternalOrganisationIdentification1Code MandateCancellationRequestV05 pain.011.001.05ExternalOrganisationIdentification1Code MandateAcceptanceReportV01 pain.012.001.01ExternalOrganisationIdentification1Code MandateAcceptanceReportV02 pain.012.001.02ExternalOrganisationIdentification1Code MandateAcceptanceReportV03 pain.012.001.03ExternalOrganisationIdentification1Code MandateAcceptanceReportV04 pain.012.001.04ExternalOrganisationIdentification1Code MandateAcceptanceReportV05 pain.012.001.05ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalOrganisationIdentification1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalOrganisationIdentification1Code MandateCopyRequestV01 pain.017.001.01ExternalOrganisationIdentification1Code MandateSuspensionRequestV01 pain.018.001.01ExternalOrganisationIdentification1Code RemittanceAdviceV01 remt.001.001.01ExternalOrganisationIdentification1Code RemittanceAdviceV02 remt.001.001.02ExternalOrganisationIdentification1Code RemittanceAdviceV03 remt.001.001.03ExternalOrganisationIdentification1Code RemittanceLocationAdviceV01 remt.002.001.01

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ExternalOrganisationIdentification1Code SecuritiesSettlementTransactionAuditTrailReportV01 semt.022.001.01ExternalOrganisationIdentification1Code SecuritiesSettlementTransactionAuditTrailReportV02 semt.022.001.02ExternalOrganisationIdentification1Code SecuritiesSettlementTransactionAuditTrailReportV03 semt.022.001.03ExternalOrganisationIdentification1Code SecuritiesSettlementTransactionAuditTrailReport002V03 semt.022.002.03ExternalOrganisationIdentification1Code InformationResponseSD1V01 supl.027.001.01ExternalOrganisationIdentification1Code FinancialInvoiceV01 tsin.004.001.01ExternalOrganisationIdentification1Code UndertakingApplicationV01 tsin.005.001.01ExternalOrganisationIdentification1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalOrganisationIdentification1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalOrganisationIdentification1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalOrganisationIdentification1Code PartyRegistrationAndGuaranteeRequestV01 tsin.009.001.01ExternalOrganisationIdentification1Code PartyRegistrationAndGuaranteeStatusV01 tsin.010.001.01ExternalOrganisationIdentification1Code PartyRegistrationAndGuaranteeNotificationV01 tsin.011.001.01ExternalOrganisationIdentification1Code PartyRegistrationAndGuaranteeAcknowledgementV01 tsin.012.001.01ExternalOrganisationIdentification1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalOrganisationIdentification1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalOrganisationIdentification1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalOrganisationIdentification1Code PartyEventAdviceV01 tsmt.055.001.01ExternalOrganisationIdentification1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalOrganisationIdentification1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalOrganisationIdentification1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalOrganisationIdentification1Code UndertakingAmendmentRequestV01 tsrv.004.001.01ExternalOrganisationIdentification1Code UndertakingAmendmentV01 tsrv.005.001.01ExternalOrganisationIdentification1Code UndertakingAmendmentAdviceV01 tsrv.006.001.01ExternalOrganisationIdentification1Code UndertakingAmendmentNotificationV01 tsrv.007.001.01ExternalOrganisationIdentification1Code UndertakingAmendmentResponseV01 tsrv.008.001.01ExternalOrganisationIdentification1Code UndertakingAmendmentResponseNotificationV01 tsrv.009.001.01ExternalOrganisationIdentification1Code UndertakingNonExtensionRequestV01 tsrv.010.001.01ExternalOrganisationIdentification1Code UndertakingNonExtensionNotificationV01 tsrv.011.001.01ExternalOrganisationIdentification1Code UndertakingTerminationNotificationV01 tsrv.012.001.01ExternalOrganisationIdentification1Code UndertakingDemandV01 tsrv.013.001.01ExternalOrganisationIdentification1Code ExtendOrPayRequestV01 tsrv.014.001.01ExternalOrganisationIdentification1Code ExtendOrPayResponseV01 tsrv.015.001.01ExternalOrganisationIdentification1Code DemandRefusalNotificationV01 tsrv.016.001.01ExternalOrganisationIdentification1Code DemandWithdrawalNotificationV01 tsrv.017.001.01ExternalOrganisationIdentification1Code TradeStatusReportV01 tsrv.018.001.01ExternalOrganisationIdentification1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalPackagingType1Code AcceptorAuthorisationRequestV03 caaa.001.001.03

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ExternalPackagingType1Code AcceptorAuthorisationRequestV04 caaa.001.001.04ExternalPackagingType1Code AcceptorAuthorisationRequestV05 caaa.001.001.05ExternalPackagingType1Code AcceptorAuthorisationRequestV06 caaa.001.001.06ExternalPackagingType1Code AcceptorAuthorisationRequestV07 caaa.001.001.07ExternalPackagingType1Code AcceptorCompletionAdviceV03 caaa.003.001.03ExternalPackagingType1Code AcceptorCompletionAdviceV04 caaa.003.001.04ExternalPackagingType1Code AcceptorCompletionAdviceV05 caaa.003.001.05ExternalPackagingType1Code AcceptorCompletionAdviceV06 caaa.003.001.06ExternalPackagingType1Code AcceptorCompletionAdviceV07 caaa.003.001.07ExternalPackagingType1Code AcceptorBatchTransferV03 caaa.011.001.03ExternalPackagingType1Code AcceptorBatchTransferV04 caaa.011.001.04ExternalPackagingType1Code AcceptorBatchTransferV05 caaa.011.001.05ExternalPackagingType1Code AcceptorBatchTransferV06 caaa.011.001.06ExternalPackagingType1Code AcceptorBatchTransferV07 caaa.011.001.07ExternalPackagingType1Code FinancialInvoiceV01 tsin.004.001.01ExternalPaymentCancellationRejection1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalPaymentCompensationReason1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalPaymentGroupStatus1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalPaymentGroupStatus1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalPaymentGroupStatus1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalPaymentGroupStatus1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalPaymentGroupStatus1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalPaymentModificationRejection1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalPaymentTransactionStatus1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalPaymentTransactionStatus1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalPaymentTransactionStatus1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalPaymentTransactionStatus1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalPaymentTransactionStatus1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalPendingProcessingReason1Code StandingSettlementInstructionStatusAdviceV01 reda.058.001.01ExternalPersonIdentification1Code AccountOpeningRequestV01 acmt.007.001.01ExternalPersonIdentification1Code AccountOpeningRequestV02 acmt.007.001.02ExternalPersonIdentification1Code AccountOpeningAmendmentRequestV01 acmt.008.001.01ExternalPersonIdentification1Code AccountOpeningAmendmentRequestV02 acmt.008.001.02ExternalPersonIdentification1Code AccountOpeningAdditionalInformationRequestV01 acmt.009.001.01ExternalPersonIdentification1Code AccountOpeningAdditionalInformationRequestV02 acmt.009.001.02ExternalPersonIdentification1Code AccountRequestAcknowledgementV01 acmt.010.001.01ExternalPersonIdentification1Code AccountRequestAcknowledgementV02 acmt.010.001.02ExternalPersonIdentification1Code AccountRequestRejectionV01 acmt.011.001.01

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ExternalPersonIdentification1Code AccountRequestRejectionV02 acmt.011.001.02ExternalPersonIdentification1Code AccountAdditionalInformationRequestV01 acmt.012.001.01ExternalPersonIdentification1Code AccountAdditionalInformationRequestV02 acmt.012.001.02ExternalPersonIdentification1Code AccountReportRequestV01 acmt.013.001.01ExternalPersonIdentification1Code AccountReportRequestV02 acmt.013.001.02ExternalPersonIdentification1Code AccountReportV01 acmt.014.001.01ExternalPersonIdentification1Code AccountReportV02 acmt.014.001.02ExternalPersonIdentification1Code AccountExcludedMandateMaintenanceRequestV01 acmt.015.001.01ExternalPersonIdentification1Code AccountExcludedMandateMaintenanceRequestV02 acmt.015.001.02ExternalPersonIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV01 acmt.016.001.01ExternalPersonIdentification1Code AccountExcludedMandateMaintenanceAmendmentRequestV02 acmt.016.001.02ExternalPersonIdentification1Code AccountMandateMaintenanceRequestV01 acmt.017.001.01ExternalPersonIdentification1Code AccountMandateMaintenanceRequestV02 acmt.017.001.02ExternalPersonIdentification1Code AccountMandateMaintenanceAmendmentRequestV01 acmt.018.001.01ExternalPersonIdentification1Code AccountMandateMaintenanceAmendmentRequestV02 acmt.018.001.02ExternalPersonIdentification1Code AccountClosingRequestV01 acmt.019.001.01ExternalPersonIdentification1Code AccountClosingRequestV02 acmt.019.001.02ExternalPersonIdentification1Code AccountClosingAmendmentRequestV01 acmt.020.001.01ExternalPersonIdentification1Code AccountClosingAmendmentRequestV02 acmt.020.001.02ExternalPersonIdentification1Code AccountClosingAdditionalInformationRequestV01 acmt.021.001.01ExternalPersonIdentification1Code AccountClosingAdditionalInformationRequestV02 acmt.021.001.02ExternalPersonIdentification1Code IdentificationModificationAdviceV01 acmt.022.001.01ExternalPersonIdentification1Code IdentificationModificationAdviceV02 acmt.022.001.02ExternalPersonIdentification1Code IdentificationVerificationRequestV01 acmt.023.001.01ExternalPersonIdentification1Code IdentificationVerificationRequestV02 acmt.023.001.02ExternalPersonIdentification1Code IdentificationVerificationReportV01 acmt.024.001.01ExternalPersonIdentification1Code IdentificationVerificationReportV02 acmt.024.001.02ExternalPersonIdentification1Code InformationRequestOpeningV01 auth.001.001.01ExternalPersonIdentification1Code InformationRequestResponseV01 auth.002.001.01ExternalPersonIdentification1Code FinancialInstrumentReportingTransactionReportV01 auth.016.001.01ExternalPersonIdentification1Code ContractRegistrationRequestV01 auth.018.001.01ExternalPersonIdentification1Code ContractRegistrationConfirmationV01 auth.019.001.01ExternalPersonIdentification1Code ContractRegistrationClosureRequestV01 auth.020.001.01ExternalPersonIdentification1Code ContractRegistrationAmendmentRequestV01 auth.021.001.01ExternalPersonIdentification1Code ContractRegistrationStatementV01 auth.022.001.01ExternalPersonIdentification1Code ContractRegistrationStatementRequestV01 auth.023.001.01ExternalPersonIdentification1Code PaymentRegulatoryInformationNotificationV01 auth.024.001.01ExternalPersonIdentification1Code CurrencyControlSupportingDocumentDeliveryV01 auth.025.001.01

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ExternalPersonIdentification1Code CurrencyControlRequestOrLetterV01 auth.026.001.01ExternalPersonIdentification1Code CurrencyControlStatusAdviceV01 auth.027.001.01ExternalPersonIdentification1Code InvoiceTaxReportV01 auth.034.001.01ExternalPersonIdentification1Code AcceptorAuthorisationRequestV03 caaa.001.001.03ExternalPersonIdentification1Code AcceptorAuthorisationRequestV04 caaa.001.001.04ExternalPersonIdentification1Code AcceptorAuthorisationRequestV05 caaa.001.001.05ExternalPersonIdentification1Code AcceptorAuthorisationRequestV06 caaa.001.001.06ExternalPersonIdentification1Code AcceptorAuthorisationRequestV07 caaa.001.001.07ExternalPersonIdentification1Code AcceptorCompletionAdviceV03 caaa.003.001.03ExternalPersonIdentification1Code AcceptorCompletionAdviceV04 caaa.003.001.04ExternalPersonIdentification1Code AcceptorCompletionAdviceV05 caaa.003.001.05ExternalPersonIdentification1Code AcceptorCompletionAdviceV06 caaa.003.001.06ExternalPersonIdentification1Code AcceptorCompletionAdviceV07 caaa.003.001.07ExternalPersonIdentification1Code AcceptorBatchTransferV03 caaa.011.001.03ExternalPersonIdentification1Code AcceptorBatchTransferV04 caaa.011.001.04ExternalPersonIdentification1Code AcceptorBatchTransferV05 caaa.011.001.05ExternalPersonIdentification1Code AcceptorBatchTransferV06 caaa.011.001.06ExternalPersonIdentification1Code AcceptorBatchTransferV07 caaa.011.001.07ExternalPersonIdentification1Code RequestToModifyPaymentV03 camt.007.002.03ExternalPersonIdentification1Code UnableToApplyV03 camt.026.001.03ExternalPersonIdentification1Code UnableToApplyV04 camt.026.001.04ExternalPersonIdentification1Code UnableToApplyV05 camt.026.001.05ExternalPersonIdentification1Code UnableToApplyV06 camt.026.001.06ExternalPersonIdentification1Code ClaimNonReceiptV03 camt.027.001.03ExternalPersonIdentification1Code ClaimNonReceiptV04 camt.027.001.04ExternalPersonIdentification1Code ClaimNonReceiptV05 camt.027.001.05ExternalPersonIdentification1Code ClaimNonReceiptV06 camt.027.001.06ExternalPersonIdentification1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalPersonIdentification1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalPersonIdentification1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalPersonIdentification1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalPersonIdentification1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalPersonIdentification1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalPersonIdentification1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalPersonIdentification1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalPersonIdentification1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalPersonIdentification1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalPersonIdentification1Code ResolutionOfInvestigationV07 camt.029.001.07

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ExternalPersonIdentification1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalPersonIdentification1Code NotificationOfCaseAssignmentV03 camt.030.001.03ExternalPersonIdentification1Code NotificationOfCaseAssignmentV04 camt.030.001.04ExternalPersonIdentification1Code RejectInvestigationV03 camt.031.001.03ExternalPersonIdentification1Code RejectInvestigationV04 camt.031.001.04ExternalPersonIdentification1Code RejectInvestigationV05 camt.031.001.05ExternalPersonIdentification1Code CancelCaseAssignmentV02 camt.032.001.02ExternalPersonIdentification1Code CancelCaseAssignmentV03 camt.032.001.03ExternalPersonIdentification1Code RequestForDuplicateV03 camt.033.001.03ExternalPersonIdentification1Code RequestForDuplicateV04 camt.033.001.04ExternalPersonIdentification1Code RequestForDuplicateV05 camt.033.001.05ExternalPersonIdentification1Code DuplicateV03 camt.034.001.03ExternalPersonIdentification1Code DuplicateV04 camt.034.001.04ExternalPersonIdentification1Code DuplicateV05 camt.034.001.05ExternalPersonIdentification1Code ProprietaryFormatInvestigationV02 camt.035.001.02ExternalPersonIdentification1Code ProprietaryFormatInvestigationV03 camt.035.001.03ExternalPersonIdentification1Code ProprietaryFormatInvestigationV04 camt.035.001.04ExternalPersonIdentification1Code DebitAuthorisationResponseV02 camt.036.001.02ExternalPersonIdentification1Code DebitAuthorisationResponseV03 camt.036.001.03ExternalPersonIdentification1Code DebitAuthorisationResponseV04 camt.036.001.04ExternalPersonIdentification1Code DebitAuthorisationRequestV03 camt.037.001.03ExternalPersonIdentification1Code DebitAuthorisationRequestV04 camt.037.001.04ExternalPersonIdentification1Code DebitAuthorisationRequestV05 camt.037.001.05ExternalPersonIdentification1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalPersonIdentification1Code CaseStatusReportRequestV02 camt.038.001.02ExternalPersonIdentification1Code CaseStatusReportRequestV03 camt.038.001.03ExternalPersonIdentification1Code CaseStatusReportV03 camt.039.001.03ExternalPersonIdentification1Code CaseStatusReportV04 camt.039.001.04ExternalPersonIdentification1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalPersonIdentification1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalPersonIdentification1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalPersonIdentification1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalPersonIdentification1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalPersonIdentification1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalPersonIdentification1Code BankToCustomerStatementV02 camt.053.001.02ExternalPersonIdentification1Code BankToCustomerStatementV03 camt.053.001.03ExternalPersonIdentification1Code BankToCustomerStatementV04 camt.053.001.04ExternalPersonIdentification1Code BankToCustomerStatementV05 camt.053.001.05

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ExternalPersonIdentification1Code BankToCustomerStatementV06 camt.053.001.06ExternalPersonIdentification1Code BankToCustomerStatementV07 camt.053.001.07ExternalPersonIdentification1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalPersonIdentification1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalPersonIdentification1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalPersonIdentification1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalPersonIdentification1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalPersonIdentification1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalPersonIdentification1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalPersonIdentification1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalPersonIdentification1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalPersonIdentification1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalPersonIdentification1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalPersonIdentification1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalPersonIdentification1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalPersonIdentification1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalPersonIdentification1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalPersonIdentification1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalPersonIdentification1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalPersonIdentification1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalPersonIdentification1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalPersonIdentification1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalPersonIdentification1Code NotificationToReceiveV02 camt.057.001.02ExternalPersonIdentification1Code NotificationToReceiveV03 camt.057.001.03ExternalPersonIdentification1Code NotificationToReceiveV04 camt.057.001.04ExternalPersonIdentification1Code NotificationToReceiveV05 camt.057.001.05ExternalPersonIdentification1Code NotificationToReceiveCancellationAdviceV02 camt.058.001.02ExternalPersonIdentification1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalPersonIdentification1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalPersonIdentification1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalPersonIdentification1Code NotificationToReceiveStatusReportV02 camt.059.001.02ExternalPersonIdentification1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalPersonIdentification1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalPersonIdentification1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalPersonIdentification1Code AccountReportingRequestV02 camt.060.001.02ExternalPersonIdentification1Code AccountReportingRequestV03 camt.060.001.03ExternalPersonIdentification1Code AccountReportingRequestV04 camt.060.001.04ExternalPersonIdentification1Code RequestToModifyPaymentV01 camt.087.001.01

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ExternalPersonIdentification1Code RequestToModifyPaymentV02 camt.087.001.02ExternalPersonIdentification1Code RequestToModifyPaymentV03 camt.087.001.03ExternalPersonIdentification1Code RequestToModifyPaymentV04 camt.087.001.04ExternalPersonIdentification1Code RequestToModifyPaymentV05 camt.087.001.05ExternalPersonIdentification1Code BusinessApplicationHeaderV01 head.001.001.01ExternalPersonIdentification1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalPersonIdentification1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalPersonIdentification1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalPersonIdentification1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalPersonIdentification1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalPersonIdentification1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalPersonIdentification1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalPersonIdentification1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalPersonIdentification1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalPersonIdentification1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalPersonIdentification1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalPersonIdentification1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalPersonIdentification1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalPersonIdentification1Code PaymentReturnV02 pacs.004.001.02ExternalPersonIdentification1Code PaymentReturnV03 pacs.004.001.03ExternalPersonIdentification1Code PaymentReturnV04 pacs.004.001.04ExternalPersonIdentification1Code PaymentReturnV05 pacs.004.001.05ExternalPersonIdentification1Code PaymentReturnV06 pacs.004.001.06ExternalPersonIdentification1Code PaymentReturnV07 pacs.004.001.07ExternalPersonIdentification1Code PaymentReturnV08 pacs.004.001.08ExternalPersonIdentification1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalPersonIdentification1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalPersonIdentification1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalPersonIdentification1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalPersonIdentification1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalPersonIdentification1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalPersonIdentification1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalPersonIdentification1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalPersonIdentification1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalPersonIdentification1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalPersonIdentification1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalPersonIdentification1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalPersonIdentification1Code FIToFICustomerCreditTransferV07 pacs.008.001.07

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ExternalPersonIdentification1Code FinancialInstitutionCreditTransferV02 pacs.009.001.02ExternalPersonIdentification1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalPersonIdentification1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalPersonIdentification1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalPersonIdentification1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalPersonIdentification1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalPersonIdentification1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalPersonIdentification1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalPersonIdentification1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalPersonIdentification1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalPersonIdentification1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalPersonIdentification1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalPersonIdentification1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalPersonIdentification1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalPersonIdentification1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalPersonIdentification1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalPersonIdentification1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalPersonIdentification1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalPersonIdentification1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalPersonIdentification1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalPersonIdentification1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalPersonIdentification1Code CustomerPaymentReversalV02 pain.007.001.02ExternalPersonIdentification1Code CustomerPaymentReversalV03 pain.007.001.03ExternalPersonIdentification1Code CustomerPaymentReversalV04 pain.007.001.04ExternalPersonIdentification1Code CustomerPaymentReversalV05 pain.007.001.05ExternalPersonIdentification1Code CustomerPaymentReversalV06 pain.007.001.06ExternalPersonIdentification1Code CustomerPaymentReversalV07 pain.007.001.07ExternalPersonIdentification1Code CustomerPaymentReversalV08 pain.007.001.08ExternalPersonIdentification1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalPersonIdentification1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalPersonIdentification1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalPersonIdentification1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalPersonIdentification1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalPersonIdentification1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalPersonIdentification1Code MandateInitiationRequestV01 pain.009.001.01ExternalPersonIdentification1Code MandateInitiationRequestV02 pain.009.001.02ExternalPersonIdentification1Code MandateInitiationRequestV03 pain.009.001.03ExternalPersonIdentification1Code MandateInitiationRequestV04 pain.009.001.04

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ExternalPersonIdentification1Code MandateInitiationRequestV05 pain.009.001.05ExternalPersonIdentification1Code MandateAmendmentRequestV01 pain.010.001.01ExternalPersonIdentification1Code MandateAmendmentRequestV02 pain.010.001.02ExternalPersonIdentification1Code MandateAmendmentRequestV03 pain.010.001.03ExternalPersonIdentification1Code MandateAmendmentRequestV04 pain.010.001.04ExternalPersonIdentification1Code MandateAmendmentRequestV05 pain.010.001.05ExternalPersonIdentification1Code MandateCancellationRequestV01 pain.011.001.01ExternalPersonIdentification1Code MandateCancellationRequestV02 pain.011.001.02ExternalPersonIdentification1Code MandateCancellationRequestV03 pain.011.001.03ExternalPersonIdentification1Code MandateCancellationRequestV04 pain.011.001.04ExternalPersonIdentification1Code MandateCancellationRequestV05 pain.011.001.05ExternalPersonIdentification1Code MandateAcceptanceReportV01 pain.012.001.01ExternalPersonIdentification1Code MandateAcceptanceReportV02 pain.012.001.02ExternalPersonIdentification1Code MandateAcceptanceReportV03 pain.012.001.03ExternalPersonIdentification1Code MandateAcceptanceReportV04 pain.012.001.04ExternalPersonIdentification1Code MandateAcceptanceReportV05 pain.012.001.05ExternalPersonIdentification1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalPersonIdentification1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalPersonIdentification1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalPersonIdentification1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalPersonIdentification1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalPersonIdentification1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalPersonIdentification1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalPersonIdentification1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalPersonIdentification1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalPersonIdentification1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalPersonIdentification1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalPersonIdentification1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalPersonIdentification1Code MandateCopyRequestV01 pain.017.001.01ExternalPersonIdentification1Code MandateSuspensionRequestV01 pain.018.001.01ExternalPersonIdentification1Code RemittanceAdviceV01 remt.001.001.01ExternalPersonIdentification1Code RemittanceAdviceV02 remt.001.001.02ExternalPersonIdentification1Code RemittanceAdviceV03 remt.001.001.03ExternalPersonIdentification1Code RemittanceLocationAdviceV01 remt.002.001.01ExternalPersonIdentification1Code InformationResponseSD1V01 supl.027.001.01ExternalPersonIdentification1Code FinancialInvoiceV01 tsin.004.001.01ExternalPersonIdentification1Code UndertakingApplicationV01 tsin.005.001.01ExternalPersonIdentification1Code InvoiceAssignmentRequestV01 tsin.006.001.01

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ExternalPersonIdentification1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalPersonIdentification1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalPersonIdentification1Code PartyRegistrationAndGuaranteeRequestV01 tsin.009.001.01ExternalPersonIdentification1Code PartyRegistrationAndGuaranteeStatusV01 tsin.010.001.01ExternalPersonIdentification1Code PartyRegistrationAndGuaranteeNotificationV01 tsin.011.001.01ExternalPersonIdentification1Code PartyRegistrationAndGuaranteeAcknowledgementV01 tsin.012.001.01ExternalPersonIdentification1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalPersonIdentification1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalPersonIdentification1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalPersonIdentification1Code PartyEventAdviceV01 tsmt.055.001.01ExternalPersonIdentification1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalPersonIdentification1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalPersonIdentification1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalPersonIdentification1Code UndertakingAmendmentRequestV01 tsrv.004.001.01ExternalPersonIdentification1Code UndertakingAmendmentV01 tsrv.005.001.01ExternalPersonIdentification1Code UndertakingAmendmentAdviceV01 tsrv.006.001.01ExternalPersonIdentification1Code UndertakingAmendmentNotificationV01 tsrv.007.001.01ExternalPersonIdentification1Code UndertakingAmendmentResponseV01 tsrv.008.001.01ExternalPersonIdentification1Code UndertakingAmendmentResponseNotificationV01 tsrv.009.001.01ExternalPersonIdentification1Code UndertakingNonExtensionRequestV01 tsrv.010.001.01ExternalPersonIdentification1Code UndertakingNonExtensionNotificationV01 tsrv.011.001.01ExternalPersonIdentification1Code UndertakingTerminationNotificationV01 tsrv.012.001.01ExternalPersonIdentification1Code UndertakingDemandV01 tsrv.013.001.01ExternalPersonIdentification1Code ExtendOrPayRequestV01 tsrv.014.001.01ExternalPersonIdentification1Code ExtendOrPayResponseV01 tsrv.015.001.01ExternalPersonIdentification1Code DemandRefusalNotificationV01 tsrv.016.001.01ExternalPersonIdentification1Code DemandWithdrawalNotificationV01 tsrv.017.001.01ExternalPersonIdentification1Code TradeStatusReportV01 tsrv.018.001.01ExternalPersonIdentification1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalPurpose1Code RequestToModifyPaymentV03 camt.007.002.03ExternalPurpose1Code UnableToApplyV06 camt.026.001.06ExternalPurpose1Code ClaimNonReceiptV06 camt.027.001.06ExternalPurpose1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalPurpose1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalPurpose1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalPurpose1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalPurpose1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalPurpose1Code AdditionalPaymentInformationV08 camt.028.001.08

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ExternalPurpose1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalPurpose1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalPurpose1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalPurpose1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalPurpose1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalPurpose1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalPurpose1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalPurpose1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalPurpose1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalPurpose1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalPurpose1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalPurpose1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalPurpose1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalPurpose1Code BankToCustomerStatementV02 camt.053.001.02ExternalPurpose1Code BankToCustomerStatementV03 camt.053.001.03ExternalPurpose1Code BankToCustomerStatementV04 camt.053.001.04ExternalPurpose1Code BankToCustomerStatementV05 camt.053.001.05ExternalPurpose1Code BankToCustomerStatementV06 camt.053.001.06ExternalPurpose1Code BankToCustomerStatementV07 camt.053.001.07ExternalPurpose1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalPurpose1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalPurpose1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalPurpose1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalPurpose1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalPurpose1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalPurpose1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalPurpose1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalPurpose1Code NotificationToReceiveV02 camt.057.001.02ExternalPurpose1Code NotificationToReceiveV03 camt.057.001.03ExternalPurpose1Code NotificationToReceiveV04 camt.057.001.04ExternalPurpose1Code NotificationToReceiveV05 camt.057.001.05ExternalPurpose1Code NotificationToReceiveCancellationAdviceV02 camt.058.001.02ExternalPurpose1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalPurpose1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalPurpose1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalPurpose1Code NotificationToReceiveStatusReportV02 camt.059.001.02ExternalPurpose1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalPurpose1Code NotificationToReceiveStatusReportV04 camt.059.001.04

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ExternalPurpose1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalPurpose1Code RequestToModifyPaymentV01 camt.087.001.01ExternalPurpose1Code RequestToModifyPaymentV02 camt.087.001.02ExternalPurpose1Code RequestToModifyPaymentV03 camt.087.001.03ExternalPurpose1Code RequestToModifyPaymentV04 camt.087.001.04ExternalPurpose1Code RequestToModifyPaymentV05 camt.087.001.05ExternalPurpose1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalPurpose1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalPurpose1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalPurpose1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalPurpose1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalPurpose1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalPurpose1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalPurpose1Code PaymentReturnV08 pacs.004.001.08ExternalPurpose1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalPurpose1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalPurpose1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalPurpose1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalPurpose1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalPurpose1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalPurpose1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalPurpose1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalPurpose1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalPurpose1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalPurpose1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalPurpose1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalPurpose1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalPurpose1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalPurpose1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalPurpose1Code CustomerPaymentReversalV08 pain.007.001.08ExternalPurpose1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalPurpose1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalPurpose1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalPurpose1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalPurpose1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalPurpose1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalPurpose1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalPurpose1Code CreditorPaymentActivationRequestV02 pain.013.001.02

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ExternalPurpose1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalPurpose1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalPurpose1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalPurpose1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalReceivedReason1Code StandingSettlementInstructionStatusAdviceV01 reda.058.001.01ExternalRejectedReason1Code StandingSettlementInstructionStatusAdviceV01 reda.058.001.01ExternalRelativeTo1Code UndertakingApplicationV01 tsin.005.001.01ExternalRelativeTo1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalRelativeTo1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalRelativeTo1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalReportingSource1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalReportingSource1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalReportingSource1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalReportingSource1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalReportingSource1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalReportingSource1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalReportingSource1Code BankToCustomerStatementV02 camt.053.001.02ExternalReportingSource1Code BankToCustomerStatementV03 camt.053.001.03ExternalReportingSource1Code BankToCustomerStatementV04 camt.053.001.04ExternalReportingSource1Code BankToCustomerStatementV05 camt.053.001.05ExternalReportingSource1Code BankToCustomerStatementV06 camt.053.001.06ExternalReportingSource1Code BankToCustomerStatementV07 camt.053.001.07ExternalReportingSource1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalReportingSource1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalReportingSource1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalReportingSource1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalReportingSource1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalReportingSource1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalRePresentmentReason1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalRePresentmentReason1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalRePresentmentReason1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalRePresentmentReason1Code BankToCustomerStatementV05 camt.053.001.05ExternalRePresentmentReason1Code BankToCustomerStatementV06 camt.053.001.06ExternalRePresentmentReason1Code BankToCustomerStatementV07 camt.053.001.07ExternalRePresentmentReason1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalRePresentmentReason1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalRePresentmentReason1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalRePresentmentReason1Code PaymentSD1V01 supl.017.001.01

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ExternalReturnReason1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalReturnReason1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalReturnReason1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalReturnReason1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalReturnReason1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalReturnReason1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalReturnReason1Code BankToCustomerStatementV02 camt.053.001.02ExternalReturnReason1Code BankToCustomerStatementV03 camt.053.001.03ExternalReturnReason1Code BankToCustomerStatementV04 camt.053.001.04ExternalReturnReason1Code BankToCustomerStatementV05 camt.053.001.05ExternalReturnReason1Code BankToCustomerStatementV06 camt.053.001.06ExternalReturnReason1Code BankToCustomerStatementV07 camt.053.001.07ExternalReturnReason1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalReturnReason1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalReturnReason1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalReturnReason1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalReturnReason1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalReturnReason1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalReturnReason1Code PaymentReturnV02 pacs.004.001.02ExternalReturnReason1Code PaymentReturnV03 pacs.004.001.03ExternalReturnReason1Code PaymentReturnV04 pacs.004.001.04ExternalReturnReason1Code PaymentReturnV05 pacs.004.001.05ExternalReturnReason1Code PaymentReturnV06 pacs.004.001.06ExternalReturnReason1Code PaymentReturnV07 pacs.004.001.07ExternalReturnReason1Code PaymentReturnV08 pacs.004.001.08ExternalReversalReason1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalReversalReason1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalReversalReason1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalReversalReason1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalReversalReason1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalReversalReason1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalReversalReason1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalReversalReason1Code CustomerPaymentReversalV02 pain.007.001.02ExternalReversalReason1Code CustomerPaymentReversalV03 pain.007.001.03ExternalReversalReason1Code CustomerPaymentReversalV04 pain.007.001.04ExternalReversalReason1Code CustomerPaymentReversalV05 pain.007.001.05ExternalReversalReason1Code CustomerPaymentReversalV06 pain.007.001.06ExternalReversalReason1Code CustomerPaymentReversalV07 pain.007.001.07

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ExternalReversalReason1Code CustomerPaymentReversalV08 pain.007.001.08ExternalSecuritiesPurpose1Code StandingSettlementInstructionV01 reda.056.001.01ExternalSecuritiesPurpose1Code StandingSettlementInstructionDeletionV01 reda.057.001.01ExternalSecuritiesPurpose1Code StandingSettlementInstructionStatusAdviceV01 reda.058.001.01ExternalSecuritiesPurpose1Code StandingSettlementInstructionCancellationV01 reda.059.001.01ExternalServiceLevel1Code RequestToModifyPaymentV03 camt.007.002.03ExternalServiceLevel1Code UnableToApplyV06 camt.026.001.06ExternalServiceLevel1Code ClaimNonReceiptV06 camt.027.001.06ExternalServiceLevel1Code AdditionalPaymentInformationV03 camt.028.001.03ExternalServiceLevel1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalServiceLevel1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalServiceLevel1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalServiceLevel1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalServiceLevel1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalServiceLevel1Code ResolutionOfInvestigationV03 camt.029.001.03ExternalServiceLevel1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalServiceLevel1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalServiceLevel1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalServiceLevel1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalServiceLevel1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalServiceLevel1Code DebitAuthorisationRequestV06 camt.037.001.06ExternalServiceLevel1Code CustomerPaymentCancellationRequestV01 camt.055.001.01ExternalServiceLevel1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalServiceLevel1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalServiceLevel1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalServiceLevel1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalServiceLevel1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalServiceLevel1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalServiceLevel1Code FIToFIPaymentCancellationRequestV01 camt.056.001.01ExternalServiceLevel1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalServiceLevel1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalServiceLevel1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalServiceLevel1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalServiceLevel1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalServiceLevel1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalServiceLevel1Code RequestToModifyPaymentV01 camt.087.001.01ExternalServiceLevel1Code RequestToModifyPaymentV02 camt.087.001.02ExternalServiceLevel1Code RequestToModifyPaymentV03 camt.087.001.03

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ExternalServiceLevel1Code RequestToModifyPaymentV04 camt.087.001.04ExternalServiceLevel1Code RequestToModifyPaymentV05 camt.087.001.05ExternalServiceLevel1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalServiceLevel1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalServiceLevel1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalServiceLevel1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalServiceLevel1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalServiceLevel1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalServiceLevel1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalServiceLevel1Code FIToFICustomerDirectDebitV02 pacs.003.001.02ExternalServiceLevel1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalServiceLevel1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalServiceLevel1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalServiceLevel1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalServiceLevel1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalServiceLevel1Code PaymentReturnV02 pacs.004.001.02ExternalServiceLevel1Code PaymentReturnV03 pacs.004.001.03ExternalServiceLevel1Code PaymentReturnV04 pacs.004.001.04ExternalServiceLevel1Code PaymentReturnV05 pacs.004.001.05ExternalServiceLevel1Code PaymentReturnV06 pacs.004.001.06ExternalServiceLevel1Code PaymentReturnV07 pacs.004.001.07ExternalServiceLevel1Code PaymentReturnV08 pacs.004.001.08ExternalServiceLevel1Code FIToFIPaymentReversalV02 pacs.007.001.02ExternalServiceLevel1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalServiceLevel1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalServiceLevel1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalServiceLevel1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalServiceLevel1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalServiceLevel1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalServiceLevel1Code FIToFICustomerCreditTransferV02 pacs.008.001.02ExternalServiceLevel1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalServiceLevel1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalServiceLevel1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalServiceLevel1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalServiceLevel1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalServiceLevel1Code FinancialInstitutionCreditTransferV02 pacs.009.001.02ExternalServiceLevel1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalServiceLevel1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04

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ExternalServiceLevel1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalServiceLevel1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalServiceLevel1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalServiceLevel1Code FinancialInstitutionDirectDebitV02 pacs.010.001.02ExternalServiceLevel1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalServiceLevel1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02ExternalServiceLevel1Code CustomerCreditTransferInitiationV03 pain.001.001.03ExternalServiceLevel1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalServiceLevel1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalServiceLevel1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalServiceLevel1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalServiceLevel1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalServiceLevel1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalServiceLevel1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalServiceLevel1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalServiceLevel1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalServiceLevel1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalServiceLevel1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalServiceLevel1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalServiceLevel1Code CustomerPaymentReversalV02 pain.007.001.02ExternalServiceLevel1Code CustomerPaymentReversalV03 pain.007.001.03ExternalServiceLevel1Code CustomerPaymentReversalV04 pain.007.001.04ExternalServiceLevel1Code CustomerPaymentReversalV05 pain.007.001.05ExternalServiceLevel1Code CustomerPaymentReversalV06 pain.007.001.06ExternalServiceLevel1Code CustomerPaymentReversalV07 pain.007.001.07ExternalServiceLevel1Code CustomerPaymentReversalV08 pain.007.001.08ExternalServiceLevel1Code CustomerDirectDebitInitiationV02 pain.008.001.02ExternalServiceLevel1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalServiceLevel1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalServiceLevel1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalServiceLevel1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalServiceLevel1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalServiceLevel1Code MandateInitiationRequestV01 pain.009.001.01ExternalServiceLevel1Code MandateInitiationRequestV02 pain.009.001.02ExternalServiceLevel1Code MandateInitiationRequestV03 pain.009.001.03ExternalServiceLevel1Code MandateInitiationRequestV04 pain.009.001.04ExternalServiceLevel1Code MandateInitiationRequestV05 pain.009.001.05ExternalServiceLevel1Code MandateAmendmentRequestV01 pain.010.001.01

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ExternalServiceLevel1Code MandateAmendmentRequestV02 pain.010.001.02ExternalServiceLevel1Code MandateAmendmentRequestV03 pain.010.001.03ExternalServiceLevel1Code MandateAmendmentRequestV04 pain.010.001.04ExternalServiceLevel1Code MandateAmendmentRequestV05 pain.010.001.05ExternalServiceLevel1Code MandateCancellationRequestV01 pain.011.001.01ExternalServiceLevel1Code MandateCancellationRequestV02 pain.011.001.02ExternalServiceLevel1Code MandateCancellationRequestV03 pain.011.001.03ExternalServiceLevel1Code MandateCancellationRequestV04 pain.011.001.04ExternalServiceLevel1Code MandateCancellationRequestV05 pain.011.001.05ExternalServiceLevel1Code MandateAcceptanceReportV01 pain.012.001.01ExternalServiceLevel1Code MandateAcceptanceReportV02 pain.012.001.02ExternalServiceLevel1Code MandateAcceptanceReportV03 pain.012.001.03ExternalServiceLevel1Code MandateAcceptanceReportV04 pain.012.001.04ExternalServiceLevel1Code MandateAcceptanceReportV05 pain.012.001.05ExternalServiceLevel1Code CreditorPaymentActivationRequestV01 pain.013.001.01ExternalServiceLevel1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalServiceLevel1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalServiceLevel1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalServiceLevel1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalServiceLevel1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalServiceLevel1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalServiceLevel1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalServiceLevel1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalServiceLevel1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalServiceLevel1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalServiceLevel1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalServiceLevel1Code MandateCopyRequestV01 pain.017.001.01ExternalServiceLevel1Code MandateSuspensionRequestV01 pain.018.001.01ExternalServiceLevel1Code RemittanceAdviceV01 remt.001.001.01ExternalServiceLevel1Code RemittanceAdviceV02 remt.001.001.02ExternalServiceLevel1Code RemittanceAdviceV03 remt.001.001.03ExternalServiceLevel1Code FinancialInvoiceV01 tsin.004.001.01ExternalServiceLevel1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalServiceLevel1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalServiceLevel1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalServiceLevel1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalServiceLevel1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalServiceLevel1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01

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ExternalShipmentCondition1Code ContractRegistrationStatementV01 auth.022.001.01ExternalShipmentCondition1Code CurrencyControlSupportingDocumentDeliveryV01 auth.025.001.01ExternalStatusReason1Code CurrencyControlStatusAdviceV01 auth.027.001.01ExternalStatusReason1Code FIToFIPaymentStatusReportV03 pacs.002.001.03ExternalStatusReason1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalStatusReason1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalStatusReason1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalStatusReason1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalStatusReason1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalStatusReason1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalStatusReason1Code CustomerPaymentStatusReportV03 pain.002.001.03ExternalStatusReason1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalStatusReason1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalStatusReason1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalStatusReason1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalStatusReason1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalStatusReason1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalStatusReason1Code CreditorPaymentActivationRequestStatusReportV01 pain.014.001.01ExternalStatusReason1Code CreditorPaymentActivationRequestStatusReportV02 pain.014.001.02ExternalStatusReason1Code CreditorPaymentActivationRequestStatusReportV03 pain.014.001.03ExternalStatusReason1Code CreditorPaymentActivationRequestStatusReportV04 pain.014.001.04ExternalStatusReason1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalStatusReason1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalStatusReason1Code TradeStatusReportV01 tsrv.018.001.01ExternalStatusReason1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalTaxAmountType1Code UnableToApplyV06 camt.026.001.06ExternalTaxAmountType1Code ClaimNonReceiptV06 camt.027.001.06ExternalTaxAmountType1Code AdditionalPaymentInformationV04 camt.028.001.04ExternalTaxAmountType1Code AdditionalPaymentInformationV05 camt.028.001.05ExternalTaxAmountType1Code AdditionalPaymentInformationV06 camt.028.001.06ExternalTaxAmountType1Code AdditionalPaymentInformationV07 camt.028.001.07ExternalTaxAmountType1Code AdditionalPaymentInformationV08 camt.028.001.08ExternalTaxAmountType1Code ResolutionOfInvestigationV04 camt.029.001.04ExternalTaxAmountType1Code ResolutionOfInvestigationV05 camt.029.001.05ExternalTaxAmountType1Code ResolutionOfInvestigationV06 camt.029.001.06ExternalTaxAmountType1Code ResolutionOfInvestigationV07 camt.029.001.07ExternalTaxAmountType1Code ResolutionOfInvestigationV08 camt.029.001.08ExternalTaxAmountType1Code DebitAuthorisationRequestV06 camt.037.001.06

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ExternalTaxAmountType1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalTaxAmountType1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalTaxAmountType1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalTaxAmountType1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalTaxAmountType1Code BankToCustomerAccountReportV07 camt.052.001.07ExternalTaxAmountType1Code BankToCustomerStatementV03 camt.053.001.03ExternalTaxAmountType1Code BankToCustomerStatementV04 camt.053.001.04ExternalTaxAmountType1Code BankToCustomerStatementV05 camt.053.001.05ExternalTaxAmountType1Code BankToCustomerStatementV06 camt.053.001.06ExternalTaxAmountType1Code BankToCustomerStatementV07 camt.053.001.07ExternalTaxAmountType1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalTaxAmountType1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalTaxAmountType1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalTaxAmountType1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalTaxAmountType1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalTaxAmountType1Code CustomerPaymentCancellationRequestV02 camt.055.001.02ExternalTaxAmountType1Code CustomerPaymentCancellationRequestV03 camt.055.001.03ExternalTaxAmountType1Code CustomerPaymentCancellationRequestV04 camt.055.001.04ExternalTaxAmountType1Code CustomerPaymentCancellationRequestV05 camt.055.001.05ExternalTaxAmountType1Code CustomerPaymentCancellationRequestV06 camt.055.001.06ExternalTaxAmountType1Code CustomerPaymentCancellationRequestV07 camt.055.001.07ExternalTaxAmountType1Code FIToFIPaymentCancellationRequestV02 camt.056.001.02ExternalTaxAmountType1Code FIToFIPaymentCancellationRequestV03 camt.056.001.03ExternalTaxAmountType1Code FIToFIPaymentCancellationRequestV04 camt.056.001.04ExternalTaxAmountType1Code FIToFIPaymentCancellationRequestV05 camt.056.001.05ExternalTaxAmountType1Code FIToFIPaymentCancellationRequestV06 camt.056.001.06ExternalTaxAmountType1Code FIToFIPaymentCancellationRequestV07 camt.056.001.07ExternalTaxAmountType1Code NotificationToReceiveV03 camt.057.001.03ExternalTaxAmountType1Code NotificationToReceiveV04 camt.057.001.04ExternalTaxAmountType1Code NotificationToReceiveV05 camt.057.001.05ExternalTaxAmountType1Code NotificationToReceiveCancellationAdviceV03 camt.058.001.03ExternalTaxAmountType1Code NotificationToReceiveCancellationAdviceV04 camt.058.001.04ExternalTaxAmountType1Code NotificationToReceiveCancellationAdviceV05 camt.058.001.05ExternalTaxAmountType1Code NotificationToReceiveStatusReportV03 camt.059.001.03ExternalTaxAmountType1Code NotificationToReceiveStatusReportV04 camt.059.001.04ExternalTaxAmountType1Code NotificationToReceiveStatusReportV05 camt.059.001.05ExternalTaxAmountType1Code RequestToModifyPaymentV01 camt.087.001.01ExternalTaxAmountType1Code RequestToModifyPaymentV02 camt.087.001.02

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ExternalTaxAmountType1Code RequestToModifyPaymentV03 camt.087.001.03ExternalTaxAmountType1Code RequestToModifyPaymentV04 camt.087.001.04ExternalTaxAmountType1Code RequestToModifyPaymentV05 camt.087.001.05ExternalTaxAmountType1Code FIToFIPaymentStatusReportV04 pacs.002.001.04ExternalTaxAmountType1Code FIToFIPaymentStatusReportV05 pacs.002.001.05ExternalTaxAmountType1Code FIToFIPaymentStatusReportV06 pacs.002.001.06ExternalTaxAmountType1Code FIToFIPaymentStatusReportV07 pacs.002.001.07ExternalTaxAmountType1Code FIToFIPaymentStatusReportV08 pacs.002.001.08ExternalTaxAmountType1Code FIToFIPaymentStatusReportV09 pacs.002.001.09ExternalTaxAmountType1Code FIToFICustomerDirectDebitV03 pacs.003.001.03ExternalTaxAmountType1Code FIToFICustomerDirectDebitV04 pacs.003.001.04ExternalTaxAmountType1Code FIToFICustomerDirectDebitV05 pacs.003.001.05ExternalTaxAmountType1Code FIToFICustomerDirectDebitV06 pacs.003.001.06ExternalTaxAmountType1Code FIToFICustomerDirectDebitV07 pacs.003.001.07ExternalTaxAmountType1Code PaymentReturnV03 pacs.004.001.03ExternalTaxAmountType1Code PaymentReturnV04 pacs.004.001.04ExternalTaxAmountType1Code PaymentReturnV05 pacs.004.001.05ExternalTaxAmountType1Code PaymentReturnV06 pacs.004.001.06ExternalTaxAmountType1Code PaymentReturnV07 pacs.004.001.07ExternalTaxAmountType1Code PaymentReturnV08 pacs.004.001.08ExternalTaxAmountType1Code FIToFIPaymentReversalV03 pacs.007.001.03ExternalTaxAmountType1Code FIToFIPaymentReversalV04 pacs.007.001.04ExternalTaxAmountType1Code FIToFIPaymentReversalV05 pacs.007.001.05ExternalTaxAmountType1Code FIToFIPaymentReversalV06 pacs.007.001.06ExternalTaxAmountType1Code FIToFIPaymentReversalV07 pacs.007.001.07ExternalTaxAmountType1Code FIToFIPaymentReversalV08 pacs.007.001.08ExternalTaxAmountType1Code FIToFICustomerCreditTransferV03 pacs.008.001.03ExternalTaxAmountType1Code FIToFICustomerCreditTransferV04 pacs.008.001.04ExternalTaxAmountType1Code FIToFICustomerCreditTransferV05 pacs.008.001.05ExternalTaxAmountType1Code FIToFICustomerCreditTransferV06 pacs.008.001.06ExternalTaxAmountType1Code FIToFICustomerCreditTransferV07 pacs.008.001.07ExternalTaxAmountType1Code FinancialInstitutionCreditTransferV03 pacs.009.001.03ExternalTaxAmountType1Code FinancialInstitutionCreditTransferV04 pacs.009.001.04ExternalTaxAmountType1Code FinancialInstitutionCreditTransferV05 pacs.009.001.05ExternalTaxAmountType1Code FinancialInstitutionCreditTransferV06 pacs.009.001.06ExternalTaxAmountType1Code FinancialInstitutionCreditTransferV07 pacs.009.001.07ExternalTaxAmountType1Code FIToFIPaymentStatusRequestV01 pacs.028.001.01ExternalTaxAmountType1Code FIToFIPaymentStatusRequestV02 pacs.028.001.02

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ExternalTaxAmountType1Code CustomerCreditTransferInitiationV04 pain.001.001.04ExternalTaxAmountType1Code CustomerCreditTransferInitiationV05 pain.001.001.05ExternalTaxAmountType1Code CustomerCreditTransferInitiationV06 pain.001.001.06ExternalTaxAmountType1Code CustomerCreditTransferInitiationV07 pain.001.001.07ExternalTaxAmountType1Code CustomerCreditTransferInitiationV08 pain.001.001.08ExternalTaxAmountType1Code CustomerPaymentStatusReportV04 pain.002.001.04ExternalTaxAmountType1Code CustomerPaymentStatusReportV05 pain.002.001.05ExternalTaxAmountType1Code CustomerPaymentStatusReportV06 pain.002.001.06ExternalTaxAmountType1Code CustomerPaymentStatusReportV07 pain.002.001.07ExternalTaxAmountType1Code CustomerPaymentStatusReportV08 pain.002.001.08ExternalTaxAmountType1Code CustomerPaymentStatusReportV09 pain.002.001.09ExternalTaxAmountType1Code CustomerPaymentReversalV03 pain.007.001.03ExternalTaxAmountType1Code CustomerPaymentReversalV04 pain.007.001.04ExternalTaxAmountType1Code CustomerPaymentReversalV05 pain.007.001.05ExternalTaxAmountType1Code CustomerPaymentReversalV06 pain.007.001.06ExternalTaxAmountType1Code CustomerPaymentReversalV07 pain.007.001.07ExternalTaxAmountType1Code CustomerPaymentReversalV08 pain.007.001.08ExternalTaxAmountType1Code CustomerDirectDebitInitiationV03 pain.008.001.03ExternalTaxAmountType1Code CustomerDirectDebitInitiationV04 pain.008.001.04ExternalTaxAmountType1Code CustomerDirectDebitInitiationV05 pain.008.001.05ExternalTaxAmountType1Code CustomerDirectDebitInitiationV06 pain.008.001.06ExternalTaxAmountType1Code CustomerDirectDebitInitiationV07 pain.008.001.07ExternalTaxAmountType1Code CreditorPaymentActivationRequestV02 pain.013.001.02ExternalTaxAmountType1Code CreditorPaymentActivationRequestV03 pain.013.001.03ExternalTaxAmountType1Code CreditorPaymentActivationRequestV04 pain.013.001.04ExternalTaxAmountType1Code CreditorPaymentActivationRequestV05 pain.013.001.05ExternalTaxAmountType1Code CreditorPaymentActivationRequestV06 pain.013.001.06ExternalTaxAmountType1Code CreditorPaymentActivationRequestStatusReportV05 pain.014.001.05ExternalTaxAmountType1Code CreditorPaymentActivationRequestStatusReportV06 pain.014.001.06ExternalTaxAmountType1Code RemittanceAdviceV01 remt.001.001.01ExternalTaxAmountType1Code RemittanceAdviceV02 remt.001.001.02ExternalTaxAmountType1Code RemittanceAdviceV03 remt.001.001.03ExternalTechnicalInputChannel1Code BankToCustomerAccountReportV02 camt.052.001.02ExternalTechnicalInputChannel1Code BankToCustomerAccountReportV03 camt.052.001.03ExternalTechnicalInputChannel1Code BankToCustomerAccountReportV04 camt.052.001.04ExternalTechnicalInputChannel1Code BankToCustomerAccountReportV05 camt.052.001.05ExternalTechnicalInputChannel1Code BankToCustomerAccountReportV06 camt.052.001.06ExternalTechnicalInputChannel1Code BankToCustomerAccountReportV07 camt.052.001.07

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ExternalTechnicalInputChannel1Code BankToCustomerStatementV02 camt.053.001.02ExternalTechnicalInputChannel1Code BankToCustomerStatementV03 camt.053.001.03ExternalTechnicalInputChannel1Code BankToCustomerStatementV04 camt.053.001.04ExternalTechnicalInputChannel1Code BankToCustomerStatementV05 camt.053.001.05ExternalTechnicalInputChannel1Code BankToCustomerStatementV06 camt.053.001.06ExternalTechnicalInputChannel1Code BankToCustomerStatementV07 camt.053.001.07ExternalTechnicalInputChannel1Code BankToCustomerDebitCreditNotificationV02 camt.054.001.02ExternalTechnicalInputChannel1Code BankToCustomerDebitCreditNotificationV03 camt.054.001.03ExternalTechnicalInputChannel1Code BankToCustomerDebitCreditNotificationV04 camt.054.001.04ExternalTechnicalInputChannel1Code BankToCustomerDebitCreditNotificationV05 camt.054.001.05ExternalTechnicalInputChannel1Code BankToCustomerDebitCreditNotificationV06 camt.054.001.06ExternalTechnicalInputChannel1Code BankToCustomerDebitCreditNotificationV07 camt.054.001.07ExternalTradeMarket1Code InvoiceAssignmentRequestV01 tsin.006.001.01ExternalTradeMarket1Code InvoiceAssignmentStatusV01 tsin.007.001.01ExternalTradeMarket1Code InvoiceAssignmentNotificationV01 tsin.008.001.01ExternalTradeMarket1Code PartyRegistrationAndGuaranteeRequestV01 tsin.009.001.01ExternalTradeMarket1Code PartyRegistrationAndGuaranteeStatusV01 tsin.010.001.01ExternalTradeMarket1Code PartyRegistrationAndGuaranteeNotificationV01 tsin.011.001.01ExternalTradeMarket1Code PartyRegistrationAndGuaranteeAcknowledgementV01 tsin.012.001.01ExternalTradeMarket1Code InvoiceAssignmentAcknowledgementV01 tsin.013.001.01ExternalTradeMarket1Code InvoicePaymentReconciliationAdviceV01 tsmt.053.001.01ExternalTradeMarket1Code InvoicePaymentReconciliationStatusV01 tsmt.054.001.01ExternalTradeTransactionCondition1Code SecuritiesTradeConfirmationV01 setr.027.001.01ExternalTradeTransactionCondition1Code SecuritiesTradeConfirmationV02 setr.027.001.02ExternalTradeTransactionCondition1Code SecuritiesTradeConfirmationV03 setr.027.001.03ExternalTradeTransactionCondition1Code SecuritiesTradeConfirmationStatusAdviceV01 setr.044.001.01ExternalTradeTransactionCondition1Code SecuritiesTradeConfirmationStatusAdviceV02 setr.044.001.02ExternalTypeOfParty1Code UndertakingApplicationV01 tsin.005.001.01ExternalTypeOfParty1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalTypeOfParty1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalTypeOfParty1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalTypeOfParty1Code UndertakingAmendmentRequestV01 tsrv.004.001.01ExternalTypeOfParty1Code UndertakingAmendmentV01 tsrv.005.001.01ExternalTypeOfParty1Code UndertakingAmendmentAdviceV01 tsrv.006.001.01ExternalTypeOfParty1Code UndertakingAmendmentNotificationV01 tsrv.007.001.01ExternalUnderlyingTradeTransactionType1Code UndertakingApplicationV01 tsin.005.001.01ExternalUnderlyingTradeTransactionType1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalUnderlyingTradeTransactionType1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01

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ExternalUnderlyingTradeTransactionType1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalUndertakingAmountType1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalUndertakingDocumentType1Code UndertakingApplicationV01 tsin.005.001.01ExternalUndertakingDocumentType1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalUndertakingDocumentType1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalUndertakingDocumentType1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalUndertakingDocumentType1Code UndertakingAmendmentRequestV01 tsrv.004.001.01ExternalUndertakingDocumentType1Code UndertakingAmendmentV01 tsrv.005.001.01ExternalUndertakingDocumentType1Code UndertakingAmendmentAdviceV01 tsrv.006.001.01ExternalUndertakingDocumentType1Code UndertakingAmendmentNotificationV01 tsrv.007.001.01ExternalUndertakingDocumentType1Code UndertakingTerminationNotificationV01 tsrv.012.001.01ExternalUndertakingDocumentType1Code UndertakingDemandV01 tsrv.013.001.01ExternalUndertakingDocumentType1Code ExtendOrPayRequestV01 tsrv.014.001.01ExternalUndertakingDocumentType1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalUndertakingDocumentType2Code UndertakingApplicationV01 tsin.005.001.01ExternalUndertakingDocumentType2Code UndertakingIssuanceV01 tsrv.001.001.01ExternalUndertakingDocumentType2Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalUndertakingDocumentType2Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalUndertakingStatusCategory1Code UndertakingStatusReportV01 tsrv.019.001.01ExternalUndertakingType1Code UndertakingApplicationV01 tsin.005.001.01ExternalUndertakingType1Code UndertakingIssuanceV01 tsrv.001.001.01ExternalUndertakingType1Code UndertakingIssuanceAdviceV01 tsrv.002.001.01ExternalUndertakingType1Code UndertakingIssuanceNotificationV01 tsrv.003.001.01ExternalValidationRuleIdentification1Code ContractRegistrationStatementV01 auth.022.001.01ExternalValidationRuleIdentification1Code CurrencyControlStatusAdviceV01 auth.027.001.01ExternalValidationRuleIdentification1Code MoneyMarketStatisticalReportStatusAdviceV01 auth.028.001.01ExternalValidationRuleIdentification1Code FinancialInstrumentReportingStatusAdviceV01 auth.031.001.01ExternalValidationRuleIdentification1Code InvoiceTaxReportStatusAdviceV01 auth.038.001.01

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Doc: document.xls 1-AccountIdentification Source: ISO 20022.orgEdition: 01 April 2016

ExternalAccountIdentification1Code

Identification Status

Origin/Requester Status Status Date Introduced Date1 AIIN IssuerIdentificationNumber New March 2016 1 April 2016

2 BBAN BBANIdentifier Maintenance SR2009 New April 2009 April 2009

3 CUID CHIPSUniversalIdentifier Maintenance SR2009 New April 2009 April 2009

4 UPIC UPICIdentifier Maintenance SR2009 New April 2009 April 2009

Code Name DefinitionIssuer Identification Number (IIN) - identifies a card issuing institution in an international interchange environment. Issued by ABA (American Bankers Association).

CR0535 - APCA/SWIFT

Basic Bank Account Number (BBAN) - identifier used nationally by financial institutions, ie, in individual countries, generally as part of a National Account Numbering Scheme(s), to uniquely identify the account of a customer.(United States) Clearing House Interbank Payments System (CHIPS) Universal Identification (UID) - identifies entities that own accounts at CHIPS participating financial institutions, through which CHIPS payments are effected. The CHIPS UID is assigned by the New York Clearing House.

Universal Payment Identification Code (UPIC) - identifier used by the New York Clearing House to mask confidential data, such as bank accounts and bank routing numbers. UPIC numbers remain with business customers, regardless of banking relationship changes.

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ExternalBalanceSubType1Code

Identification Status

Origin/Requester Status Status Date Introduced Date1 ADJT Adjustment New April 2009 April 2009

2 BCUR BaseCurrency Balance representing the amount in the domestic or base accounting currency. New April 2009 April 2009

3 BLCK Blocked New April 2009 April 2009

4 BLKD Blocked Funds Balance representing funds that cannot be touched by the account owner. New April 2009 April 2009

5 DLOD DaylightOverdraft New April 2009 April 2009

6 EAST EligibleAssets New April 2009 April 2009

7 FCOL Firm collateralization New April 2009 April 2009

8 FCOU New April 2009 April 2009

9 FORC SecuritiesForecast New April 2009 April 2009

10 FUND NetFunding New April 2009 April 2009

11 INTM Intermediate CR0058/CGI New 14 Feb 2011 14 Feb 2011

12 LCUR LocalCurrency New April 2009 April 2009

13 LRLD LimitRelated New April 2009 April 2009

Code Name Definition

Balance to be held in the settlement account in order to comply with the average reserve due, in the event that the bank's balance is equal to the reserve due during the remaining days of the maintenance period.

Maintenance SR2009

Maintenance SR2009

Balance representing the regulatory reserve that a financial institution must have with the account servicing institution, eg, the minimum credit balance a financial institution is to keep with its Central Bank for mandatory reserve purposes. In some countries, a blocked balance is known as a 'reserve' balance.

Maintenance SR2009

Maintenance SR2009

Balance representing the intra day overdraft granted by the Central Bank to financial institutions participating in a RTGS system. This balance may vary over time and shall be offset at the end of the day.

Maintenance SR2009

Balance representing the potential loan a Central Bank would make in cash if the collateral is pledged, eg, securities available and eligible as collateral with the Central Bank.

Maintenance SR2009

Balance representing the forecast of the cash-equivalent resulting from evaluation of existing holdings at CSD that are qualified to serve as collateral.

Maintenance SR2009

Amounts that have been used to serve as firm collateral

Balance representing the cash equivalent resulting from evaluation of existing holdings at CSD that are qualified to serve as collateral and have been used as collateral.

Maintenance SR2009

Balance representing the total of all balance types representing the forecast of transactions to settle, blocked items, custody transactions and corporate actions cash disbursements.

Maintenance SR2009

Balance representing the net amount to be funded resulting from the difference between the total of all transactions with a cash impact and the existing cash coverage.

Maintenance SR2009

Balance representing an intermediate amount such as the opening or closing balance incrementally carried forward from one page to the next in a multi-page statement or report.Balance representing the amount in the local market currency for which the asset is held.

Maintenance SR2009

Balance of a specific limit value, eg, a bilateral balance is calculated in relation to a given bilateral limit.

Maintenance SR2009

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ExternalBalanceSubType1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition14 NOTE Reserved liquidity New April 2009 April 2009

15 PDNG SecuritiesPending New April 2009 April 2009

16 PIPO PayInPayOut New April 2009 April 2009

17 PRAV ProgressiveAverage New April 2009 April 2009

18 RESV Reserve New April 2009 April 2009

19 SCOL Self-collateralization New April 2009 April 2009

20 SCOU New April 2009 April 2009

21 THRE Threshold New April 2009 April 2009

Balance representing the amount that a financial institution has set aside for a specific reason and which is therefore not available. In the context of CSDs, reservation of liquidity made to meet settlement obligations.

Maintenance SR2009

Balance of securities pending delivery, such as orders to sell securities have been executed but settlement of the open transactions has not been confirmed.

Maintenance SR2009

Balance representing the fictive amount of automated direct debits or payment based on standing arrangements between the CSD and the user. Usage: Pay-Ins and Pay-Outs can be different based on individual payment instructions or available funds.

Maintenance SR2009

Average of the daily balances on the account used to fulfil the reserve requirements calculated from the beginning of the maintenance period.

Maintenance SR2009

Balance representing the regulatory reserve that a financial institution must have with the account servicing institution, eg, the minimum credit balance a financial institution is to keep with its Central Bank for mandatory reserve purposes.

Maintenance SR2009

Balance representing the forecast of the cash-equivalent resulting from evaluation of the net incoming balance of securities qualified to serve as collateral for which settlement instructions are held at.

Maintenance SR2009

Amounts that have been used to serve as self collateral

Balance representing the cash-equivalent resulting from evaluation of incoming securities, qualified to serve as collateral and actually used as collateral, which have been settled during the settlement process.

Maintenance SR2009

Balance representing the amount that will be destined for investment. Difference between available balance and threshold for investment limit.

Maintenance SR2009

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ExternalCashClearingSystem1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 ABE EBAEuro1Step1 EBA Euro1/Step1. Maintenance SR2009 New April 2009 April 20092 ACH ACH Maintenance SR2009 New April 2009 April 2009

3 ACS Canada Canadian Dollar (CAD) - Automated Clearing Settlement System (ACSS) CR0310, CPA New 16 January 2014 16 January 2014

4 AIP Albania AL (Albania) - Albania Interbank Payment System. Maintenance SR2009 New April 2009 April 20095 ART Austrian AT (Austria) - Austrian RTGS (ARTIS). Maintenance SR2009 New April 2009 April 20096 AVP NewZealand NZ (New Zealand) - New Zealand Assured Value Payments. Maintenance SR2009 New April 2009 April 20097 AZM Azerbaijan AZ (Azerbaijan) - Azerbaijan Interbank Payment System (AZIPS). Maintenance SR2009 New April 2009 April 20098 BAP BosniaHerzegovina BA (Bosnia and Herzegovina). Maintenance SR2009 New April 2009 April 20099 BCC SwedenBGC SE (Sweden) - Sweden BGC Clearing CUG. Maintenance SR2009 New April 2009 April 2009

10 BCE Ecuador New 13 June 2014 13 June 2014

11 BDS Barbados BB (Barbados) - Barbados RTGS (CBRTGS). Maintenance SR2009 New April 2009 April 200912 BEL Belgium BE (Belgium) - Belgium RTGS (ELLIPS). Maintenance SR2009 New April 2009 April 200913 BGN Bulgaria BG (Bulgaria) - Bulgaria RTGS. Maintenance SR2009 New April 2009 April 200914 BHS Bahamas BS (Bahamas) - Bahamas RTGS. Maintenance SR2009 New April 2009 April 200915 BIS Botswana BW (Botswana) - Botswana Interbank Settlement System. Maintenance SR2009 New April 2009 April 200916 BOF Finland FI (Finland) - RTGS (BOF). Maintenance SR2009 New April 2009 April 200917 BOJ BankOfJapanNet the Bank of Japan clearing system. Maintenance SR2009 New April 2009 April 200918 BRL Italy IT (Italy) - Italy RTGS (BIREL). Maintenance SR2009 New April 2009 April 200919 BSP Philippines PH (Philippines) - Philippines Payment System. Maintenance SR2009 New April 2009 April 200920 CAD Canada CA (Canada) - Canadian Large Value Transfer System (LVTS) CR0310, CPA 16 January 2014 April 2009

21 CAM SpainCAM ES (Spain). Maintenance SR2009 New April 2009 April 200922 CBJ Ireland IE (Ireland) - Irish RTGS (IRIS). Maintenance SR2009 New April 2009 April 200923 CHI USTCHChips US - The Clearing House CHIPS Maintenance SR2009 New April 2009 April 200924 CHP UnitedKingdom GB (UK) - British Euro RTGS (CHAPS). Maintenance SR2009 New April 2009 April 200925 CIS Central Interoperability Service CR0464, Equens (NL) New 27 February 2015

26 COE Columbia Maintenance SR2009 New April 2009 April 2009

27 COI Columbia Maintenance SR2009 New April 2009 April 2009

28 COU Columbia Maintenance SR2009 New April 2009 April 2009

29 DDK DenmarkDDK DK (Denmark) - Danish Krone RTGS (KRONOS) Maintenance SR2009 New April 2009 April 200930 DKC Denmark DK (Denmark) - Danish Euro RTGS (KRONOS) Maintenance SR2009 New April 2009 April 200931 EBA EBAEuro1 EBA Euro1. Maintenance SR2009 New April 2009 April 2009

Code Name Definition

Automated Clearing House. Payment system that clears cash transfers and settles the proceeds in a lump sum, usually on a multilateral netting basis.

EC (Ecuador) - Ecuadorian Central Payment System (Sistema Central de Pagos Ecuatoriano)

CR0315, Banco Central del Ecuador

Retired. Replaced by LVT. Do not use.

Central Interoperability Service of the EACHA Clearing Cooperative, for exchanging SEPA payments between Automated Clearing Houses in the EEA.

27 February 2015

CO (Columbia) - Colombian Electronic Cheque System named CEDEC (Compensación Electrónica De Cheques).CO (Columbia) - Colombian Central Bank´s ACH named CENIT (Compensación Electrónica Nacional Interbancaria).CO (Columbia) - Colombian RTGS System named CUD (Cuentas de Depósito).

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ExternalCashClearingSystem1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition32 ELS GermanyELS DE (Germany). New 31 July 2014 April 2009

33 EMZ Germany Elektronischer Massenzahlungsverkehr (EMZ) New. Replaces SCL 13 June 2014 13 June 2014

34 EPM ECB ECB (European Central Bank) - ECB Payment Mechanism. Maintenance SR2009 New April 2009 April 200935 EPN USTCHEPN US - The Clearing House EPN Maintenance SR2009 New April 2009 April 200936 ERP EBAStep1 EBA step 1 (members). Maintenance SR2009 New April 2009 April 200937 FDA USFedACH US (United States) - FED-ACH Maintenance SR2009 New April 2009 April 200938 FDN FedNet Maintenance SR2009 New April 2009 April 2009

39 FDW USFedwire US (United States) – FEDWIRE Maintenance SR2009 New April 2009 April 200940 FEY ForeignExchangeYenClearing Maintenance SR2009 New April 2009 April 2009

41 GIS Ghana GH (Ghana) - Ghana Interbank Settlement System (GISS). Maintenance SR2009 New April 2009 April 200942 HRK Croatia HR (Croatia) - HSVP. Maintenance SR2009 New April 2009 April 200943 HRM Greece GR (Greece) - Greek RTGS (HERMES). Maintenance SR2009 New April 2009 April 200944 HUF Hungary HU (Hungary) - VIBER. Maintenance SR2009 New April 2009 April 200945 INC DEandNLEquens DE and NL - Equens Maintenance SR2009 New April 2009 April 200946 JOD Jordan JO (Jordan) - Jordan RTGS. Maintenance SR2009 New April 2009 April 200947 KPS Kenya KE (Kenya) - Kenyan Electronic Payment Settlement System. Maintenance SR2009 New April 2009 April 200948 LGS Luxemburg LU (Luxemburg) - Luxembourg RTGS (LIPS). Maintenance SR2009 New April 2009 April 200949 LKB SriLanka LK (Sri Lanka) - Sri Lanka (Lankasettle). Maintenance SR2009 New April 2009 April 200950 LVL Latvia LV (Latvia). Maintenance SR2009 New April 2009 April 200951 LVT Canada CA (Canada) - Large Value Transfer System (LVTS). Replaces CAD. CR0310, CPA New 16 January 2014 16 January 201452 MEP Singapore SG (Singapore) - Singapore RTGS (MEPS+). Maintenance SR2009 New April 2009 April 200953 MOS SouthAfrica ZA (South Africa) - South-African Multiple Option Settlement. Maintenance SR2009 New April 2009 April 200954 MRS Malta MT (Malta) - Malta Realtime Interbank Settlement System. Maintenance SR2009 New April 2009 April 200955 MUP Mauritius MU (Mauritius). Maintenance SR2009 New April 2009 April 200956 NAM Namibia NA (Namibian) - Namibian Interbank Settlement System. Maintenance SR2009 New April 2009 April 200957 NOC Norway NO (Norway). Maintenance SR2009 New April 2009 April 200958 NPP Australia AU (Australia) - New Payments Platform (NPP) CR0536, APCA/SWIFT New March 2016 01 April 201659 PCH Switzerland CH (Switzerland). Maintenance SR2009 New April 2009 April 200960 PDS Australia AU (Australia). Maintenance SR2009 New April 2009 April 200961 PEG Egypt EG (Egypt). Maintenance SR2009 New April 2009 April 200962 PNS FrancePNS FR (France). Maintenance SR2009 New April 2009 April 2009

Maintenance SR2009/ErrataCR0385, Deutsche Bundesbank

FedNet is a link to a Federal Bank account via the internet. FedNet enables checking of account balance, transactions, take print outs of account statement, transfer funds to third party accounts, E-shopping, BSNL Payments, Deposit opening, Deposit Renewal, Request for Demand Draft, Cheque Book etc.

JP (Japan) the Foreign Exchange Yen Clearing system (FEYCS). It is the Japanese electronic interbank system for sending guaranteed and unconditional yen payments of FX deals for same day settlement from one settlement bank, on behalf of itself or its customers, to another settlement bank.

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ExternalCashClearingSystem1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition63 PTR Angola AO (Angola) - Angola RTGS. Maintenance SR2009 New April 2009 April 200964 PVE Venezuela Ve (Venezuela). Maintenance SR2009 New April 2009 April 200965 ROL RomaniaEPO RO (Romania) - Romanian Electronic Payment Operations RT. Maintenance SR2009 New April 2009 April 200966 ROS RomaniaGSRS RO (Romania) - Romanian GSRS. Maintenance SR2009 New April 2009 April 200967 RTG RTGS Maintenance SR2009 New April 2009 April 2009

68 RTP GermanyRTGSPlus DE (Germany). Maintenance SR2009 New April 2009 April 200969 SCL RPS SEPA-Clearer 13 June 2014 August 2010

70 SCP Chili CL (Chile) - Chilean Interbank Payment System. Maintenance SR2009 New April 2009 April 200971 SEC SwedenSEC SE (Sweden) - Swedish Euro RTGS (SEC). Maintenance SR2009 New April 2009 April 200972 SIT Slovania SI (Slovenia). Maintenance SR2009 New April 2009 April 200973 SLB SpainES ES (Spain) - Spanish RTGS (SLBE). Maintenance SR2009 New April 2009 April 200974 SPG Portugal PT (Portugal) - Portuguese RTGS (SPGT). Maintenance SR2009 New April 2009 April 200975 SSK SwedenSSK SE (Sweden) - SEK RTGS (RIX). Maintenance SR2009 New April 2009 April 200976 ST2 EBAStep2 EBA Clearing STEP 2 Maintenance SR2009 New April 2009 April 200977 STG UnitedKingdomGBP UK (United Kingdom) - CHAPS Sterling RTGS. Maintenance SR2009 New April 2009 April 200978 TBF FranceFR FR (France) - French RTGS (TBF). Maintenance SR2009 New April 2009 April 200979 TCH USTCHRealTime US - The Clearing House Real-TimePayment System New August 2016 31 August 2016

80 TGT Target Target. Maintenance SR2009 New April 2009 April 200981 THB Thailand TH (Thailand) - Thailand Payment System (BAHTNET). Definition updated April 2016 11 May 2016

82 THN Thailand-NITMX TH (Thailand) - National ITMX Payment System CR0547/SWIFT New April 2016 11 May 201683 TIS Tanzania TZ (Tanzania) - Tanzania Interbank Settlement System (TISS). Maintenance SR2009 New April 2009 April 200984 TOP Netherlands NL (Netherlands) - Dutch RTGS (TOP) Maintenance SR2009 New April 2009 April 200985 TTD TrinidadAndTobago TT (Trinidad and Tobago ) - Trinidad and Tobago SAFE-TT. Maintenance SR2009 New April 2009 April 200986 UBE Canada United States Dollar (USD) – US Bulk Exchange Clearing System (USBE) CR0310, CPA New 16 January 2014 16 January 2014

87 UIS Uganda UG (Uganda) - Uganda National Interbank Settlement System. Maintenance SR2009 New April 2009 April 200988 VCS VocaLink VocaLink Clearing System Maintenance SR2009 New April 2009 April 200989 XCT EBAStep2 EBA step 2. Maintenance SR2009 New April 2009 April 200990 ZEN Zengin Maintenance SR2009 New April 2009 April 2009

91 ZET Zimbabwe ZW (Zimbabwe) - Zimbabwe Electronic Transfer & Settlement System. Maintenance SR2009 New April 2009 April 200992 ZIS Zambia ZM (Zambia) - Zambian Interbank Payment &Settlement System. Maintenance SR2009 New April 2009 April 2009

Real Time Gross Settlement System. Payment system that simultaneously clears individual transfers and settles them in central bank money.

DE – SEPA-Clearer of the Retail Payment System operated by Deutsche Bundesbank

Deutsche Bundesbank (2Q2010-CR0015)CR0385, Deutsche Bundesbank

Retired. Replaced by EMZ. Do not use.

The Clearing House/CR0572

Maintenance SR2009/CR0546-SWIFT

JP (Japan) the Zengin system. The electronic payment system for domestic third party transfers managed by the Tokyo Bankers Association.

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ExternalCategoryPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 BONU BonusPayment Transaction is the payment of a bonus. CR0156/CGI Group New 9 February 2012 9 February 20122 CASH CashManagementTransfer Transaction is a general cash management instruction. Maintenance SR2009 New April 2009 April 2009

3 CBLK Card Bulk Clearing New 08 Oct 2012 08 Oct 2012

4 CCRD Credit Card Payment Transaction is related to a payment of credit card. Maintenance SR2009 New April 2009 April 2009

5 CORT TradeSettlementPayment Maintenance SR2009 New April 2009 April 2009

6 DCRD Debit Card Payment Transaction is related to a payment of debit card. Maintenance SR2009 New April 2009 April 2009

7 DIVI Dividend Transaction is the payment of dividends. Maintenance SR2009 New April 2009 April 2009

8 DVPM DeliverAgainstPayment CR0466/SEB New 31 August 2015 31 August 2015

9 EPAY Epayment Transaction is related to ePayment. CR0462/STUZZA Updated 26 December 2014 23 May 201110 FCOL Fee Collection New 08 Oct 2012 08 Oct 2012

11 GOVT GovernmentPayment Transaction is a payment to or from a government department. Maintenance SR2009 New April 2009 April 2009

12 HEDG Hedging Transaction is related to the payment of a hedging operation. Maintenance SR2009 New April 2009 April 2009

13 ICCP Irrevocable Credit Card Payment Transaction is reimbursement of credit card payment. Maintenance SR2009 New April 2009 April 2009

14 IDCP Irrevocable Debit Card Payment Transaction is reimbursement of debit card payment. Maintenance SR2009 New April 2009 April 2009

15 INTC IntraCompanyPayment Maintenance SR2009 New April 2009 April 2009

16 INTE Interest Transaction is the payment of interest. Maintenance SR2009 New April 2009 April 2009

17 LOAN Loan Transaction is related to the transfer of a loan to a borrower. Maintenance SR2009 New April 2009 April 200918 MP2B Commercial Mobile P2B Payment New May 2017 May 2017

Code Name Definition

A Service that is settling money for a bulk of card transactions, while referring to a specific transaction file or other information like terminal ID, card acceptor ID or other transaction details.

CodeEval 3Q2012 CR0251-Berlin Group.

Transaction is related to settlement of a trade, eg a foreign exchange deal or a securities transaction.

Code used to pre-advise the account servicer of a forthcoming deliver against payment instruction.

A Service that is settling card transaction related fees between two parties.

CodeEval 3Q2012 CR0251-Berlin Group.

Transaction is an intra-company payment, ie, a payment between two companies belonging to the same group.

CR0646/BerlinGroup

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ExternalCategoryPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition19 MP2P Consumer Mobile P2P Payment New May 2017 May 2017

20 OTHR OtherPayment Other payment purpose. CR0156/CGI Group New 9 February 2012 9 February 201221 PENS PensionPayment Transaction is the payment of pension. Maintenance SR2009 New April 2009 April 2009

22 RVPM ReceiveAgainstPayment CR0466/SEB New 31 August 2015 31 August 2015

23 SALA SalaryPayment Transaction is the payment of salaries. Maintenance SR2009 New April 2009 April 2009

24 SECU Securities Transaction is the payment of securities. Maintenance SR2009 New April 2009 April 2009

25 SSBE SocialSecurityBenefit Maintenance SR2009 New April 2009 April 2009

26 SUPP SupplierPayment Transaction is related to a payment to a supplier. Maintenance SR2009 New April 2009 April 2009

27 TAXS TaxPayment Transaction is the payment of taxes. Maintenance SR2009 New April 2009 April 2009

28 TRAD Trade Transaction is related to the payment of a trade finance transaction. Maintenance SR2009 New April 2009 April 2009

29 TREA TreasuryPayment Maintenance SR2009 New April 2009 April 2009

30 VATX ValueAddedTaxPayment Transaction is the payment of value added tax. Maintenance SR2009 New April 2009 April 2009

31 WHLD WithHolding Transaction is the payment of withholding tax. Maintenance SR2009 New April 2009 April 2009

* If the tag is present, and no specific code is required, SUPP is the recommended default. * The more specific code is the one which should be used. E.g. if a payment is to a government for withholding tax, relevant codes would include GOVT, TAXS, and WHLD. WHLD would be the preferred code here.

CR0646/BerlinGroup

Code used to pre-advise the account servicer of a forthcoming receive against payment instruction.

Transaction is a social security benefit, ie payment made by a government to support individuals.

Transaction is related to treasury operations. E.g. financial contract settlement.

Usage Rules:

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ExternalClearingSystemIdentification1Code

Identification Information/Details Status

Country Status Status Date Introduced Date1 ATBLZ Bank Branch code used in Austria Austria [0-9]{5,5} New September 2007

2 AUBSB Bank Branch code used in Australia Australia [0-9]{6,6} New September 2007

3 CACPA Bank Branch code used in Canada Canada [0-9]{9,9} New September 2007

4 CHBCC Switzerland [0-9]{3,5} March 2016 September 2007

5 CHSIC Switzerland [0-9]{6,6} March 2016 September 2007

6 CNAPS CNAPS Identifier Bank Branch code used in China China [0-9]{12,12} New September 2007

7 DEBLZ German Bankleitzahl Bank Branch code used in Germany Germany [0-9]{8,8} New September 2007

8 ESNCC Bank Branch code used in Spain Spain [0-9]{8,9} New September 2007

9 GBDSC Bank Branch code used in the UK UK [0-9]{6,6} New September 2007

Code Name Definition

Bank Identifier [CharacterType] {Length} Origin/Requester

Austrian Bankleitzahl

Payments Harmonisation 2006 External Code List

September 2007

Australian Bank State Branch Code (BSB)

Payments Harmonisation 2006 External Code List

September 2007

Canadian Payments Association Payment Routing Number

Payments Harmonisation 2006 External Code List

September 2007

Swiss Financial Institution Identification (short)

Financial Institution Identification (IID) used in Switzerland, without check digit

Payments Harmonisation 2006 External Code List

Name and definition updated (CR0542)

Swiss Financial Institution Identification (long)

Financial Institution Identification (IID) used in Switzerland, including check digit

Payments Harmonisation 2006 External Code List

Name and definition updated (CR0542)

Payments Harmonisation 2006 External Code List

September 2007

Payments Harmonisation 2006 External Code List

September 2007

Spanish Domestic Interbanking Code

Payments Harmonisation 2006 External Code List

September 2007

UK Domestic Sort Code

Payments Harmonisation 2006 External Code List

September 2007

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ExternalClearingSystemIdentification1Code

Identification Information/Details Status

Country Status Status Date Introduced DateCode Name Definition

Bank Identifier [CharacterType] {Length} Origin/Requester

10 GRBIC Bank Branch code used in Greece Greece [0-9]{7,7} New September 2007

11 HKNCC Bank Branch code used in Hong Kong Hong Kong [0-9]{3,3} New September 2007

12 IENCC Bank Branch code used in Ireland Ireland [0-9]{6,6} New September 2007

13 INFSC Bank Branch code used in India India [a-zA-Z0-9]{11,11} New September 2007

14 ITNCC Bank Branch code used in Italy Italy [0-9]{10,10} New September 2007

15 JPZGN Bank Branch code used in Japan Japan [0-9]{7,7} New September 2007

16 NZNCC New Zealand [0-9]{6,6} New September 2007

17 PLKNR Bank Branch code used in Poland Poland [0-9]{8,8} New September 2007

18 PTNCC Bank Branch code used in Portugal Portugal [0-9]{8,8} New September 2007

19 RUCBC Bank Branch code used in Russia Russia [0-9]{9,9} New September 2007

Helenic Bank Identification Code

Payments Harmonisation 2006 External Code List

September 2007

Hong Kong Bank Code

Payments Harmonisation 2006 External Code List

September 2007

Irish National Clearing Code

Payments Harmonisation 2006 External Code List

September 2007

Indian Financial System Code

Payments Harmonisation 2006 External Code List

September 2007

Italian Domestic Identification Code

Payments Harmonisation 2006 External Code List

September 2007

Japan Zengin Clearing Code

Payments Harmonisation 2006 External Code List

September 2007

New Zealand National Clearing Code

Bank Branch code used in New Zealand

Payments Harmonisation 2006 External Code List

September 2007

Polish National Clearing Code

Payments Harmonisation 2006 External Code List

September 2007

Portuguese National Clearing Code

Payments Harmonisation 2006 External Code List

September 2007

Russian Central Bank Identification Code

Payments Harmonisation 2006 External Code List

September 2007

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ExternalClearingSystemIdentification1Code

Identification Information/Details Status

Country Status Status Date Introduced DateCode Name Definition

Bank Identifier [CharacterType] {Length} Origin/Requester

20 SESBA Bank Branch code used in Sweden Sweden [0-9]{4,4} New April 2009 April 2009

21 SGIBG IBG Sort Code Bank Branch code used in Singapore Singapore New September 2007

22 THCBC Thailand [0-9]{3,3} New 16 January 2014

23 TWNCC Bank Branch code used in Taiwan Taiwan New September 2007

24 USABA US [0-9]{9,9} New September 2007

25 USPID US [0-9]{4,4} New September 2007

26 ZANCC South Africa [0-9]{6,6} New September 2007

Sweden Bankgiro Clearing Code  

Swedish Bankers Association/Rolf Bohman

[0-9]{7,7} or [0-9]{3,4}

Payments Harmonisation 2006 External Code List

September 2007

Thai Central Bank Identification Code

Bank Identification code used in Thailand

CR0314/SWIFT & ETDA TH

16 January 2014

Financial Institution Code

[0-9]{7,7}

Payments Harmonisation 2006 External Code List

September 2007

United States Routing Number (Fedwire, NACHA)

Routing Transit number assigned by the ABA for US financial institutons

Payments Harmonisation 2006 External Code List

September 2007

CHIPS Participant Identifier

Bank identifier used by CHIPs in the US

Payments Harmonisation 2006 External Code List

September 2007

South African National Clearing Code

Bank Branch code used in South Africa

Payments Harmonisation 2006 External Code List

September 2007

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ExternalFinancialInstitutionIdentification1Code

Identification Status

Status Status Date Introduced Date1 Currently no codes have been defined.23456789

101112131415161718

Code Name Definition Origin/Requester

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ExternalLocalInstrument1CodeIdentification Information/Details Status

Region Payment System Origin/Requester Status Status Date Introduced Date1 DDMC DirectDebitConfirmedElectronicMandate APAC HK All eDDA DD CR0652/HKICL New February 2017 8 February 2017

2 DDMP APAC HK All eDDA DD CR0652/HKICL New February 2017 8 February 2017

3 DDMU APAC HK All eDDA DD CR0652/HKICL New February 2017 8 February 2017

4 TRF Credit Transfers Transaction is related to credit transfers EMEA AT All CT New September 2007 September 2007

5 82 Non-pre authorised Direct Debit EMEA AT EUR DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

6 83 Pre authorised Direct Debit EMEA AT EUR DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

7 CPP Cash Per Post EMEA AT EUR CT 2 December 2011 September 2007

8 RTR Returned Credit Transfers Transaction is related to returned credit transfers. EMEA AT EUR CT New September 2007 September 2007

9 GST Truncated Credit Transfers EMEA AT EUR CT 2 December 2011 September 2007

10 DDT Direct Debits Transaction is related to direct debits. EMEA AT EUR DD New September 2007 September 2007

11 RDD Returned Direct Debits Transaction is related to returned direct debits. EMEA AT EUR DD New September 2007 September 2007

12 CHN Truncated Checks EMEA AT EUR DD 2 December 2011 September 2007

13 STR Revoked Credit Transfers Transaction is related to revoked credit transfers EMEA AT EUR other New September 2007 September 2007

14 SDD Revoked Direct Debits Transaction is related to revoked direct debits. EMEA AT EUR other New September 2007 September 2007

15 SRT Revoked Returned Credit Transfers Transaction is related to revoked returned credit transfers EMEA AT EUR other New September 2007 September 2007

16 SRD Revoked Returned Direct Debits Transaction is related to revoked returned direct debits. EMEA AT EUR other New September 2007 September 2007

17 SCN Revoked Truncated Checks Transaction is related to revoked truncated checks. EMEA AT EUR other New September 2007 September 2007

18 SGT Revoked Truncated Credit Transfers Transaction is related to revoked truncated credit transfers. EMEA AT EUR other New September 2007 September 2007

19 CARD Card Clearing Transaction is related to card clearing. EMEA DE EUR All Both Maintenance SR2009 New April 2009 April 200920 05 Non-pre authorised Direct Debit EMEA DE EUR Domestic DE DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

Code* Name Definition

ISO Country

Code

ISO Currency

Code

DD/CT/ Both/ Other

Corp2Bk, Bk2Bk, or Both

Transaction is related to a direct debit instruction authorized under a confirmed electronic mandate.

Both 

DirectDebitPaperMandateWithPaperAuthorization

Transaction is related to a direct debit instruction authorized under a paper based mandate, supported by paper authorization signed by the debtor.

Both 

DirectDebitUnconfirmedElectronicMandate

Transaction is related to a direct debit instruction authorized under an unconfirmed electronic mandate requiring confirmation by the debtor.

Both 

correspondent banking

Payments Harmonisation 2006 External Code List

Transaction is related to a direct debit that is not pre authorised (Einzugsermächtigung).

 Domestic AT

Transaction is related to a direct debit that is pre authorised (Abbuchungsauftrag).

 Domestic AT

Transaction is related to cash per post.Transaction to ultimate recipient having no bank account. Primary beneficiary is a postal service provider. Funds are paid out by cash. Additional necessary information for address and delivery options need to be attached.

correspondent banking

Payments Harmonisation 2006 External Code List

Definition clarified

correspondent banking

Payments Harmonisation 2006 External Code List

Transaction is related to truncated credit transfers.Conversion of physical instrument to electonric form for transmission to the paying bank and where the original paper document does not continue in the clearing process..The original instrument rules are retained throughout the life of the instrument.Transaction triggered by specific marked and populated paper slip.Reconciliation reference is secured by check digits supporting secure optical recognition. All other remittance information is truncated prior transmission.

correspondent banking

Payments Harmonisation 2006 External Code List

Definition clarified

correspondent banking

Payments Harmonisation 2006 External Code List

correspondent banking

Payments Harmonisation 2006 External Code List

Transaction is related to truncated checks.Conversion of physical instrument to electonric form for transmission to the paying bank and where the original paper document does not continue in the clearing process..The original instrument rules are retained throughout the life of the instrument.

correspondent banking

Payments Harmonisation 2006 External Code List

Definition clarified

correspondent banking

Payments Harmonisation 2006 External Code List

correspondent banking

Payments Harmonisation 2006 External Code List

correspondent banking

Payments Harmonisation 2006 External Code List

correspondent banking

Payments Harmonisation 2006 External Code List

correspondent banking

Payments Harmonisation 2006 External Code List

correspondent banking

Payments Harmonisation 2006 External Code List

Transaction is related to a direct debit that is not pre authorised (Einzugsermächtigung).

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ExternalLocalInstrument1CodeIdentification Information/Details Status

Region Payment System Origin/Requester Status Status Date Introduced DateCode* Name Definition

ISO Country

Code

ISO Currency

Code

DD/CT/ Both/ Other

Corp2Bk, Bk2Bk, or Both

21 04 Pre authorised Direct Debit EMEA DE EUR Domestic DE DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

22 ISE Image-based Cheque Collection EMEA DE EUR Domestic DE Other Bk2Bk New 31 August 2015 31 August 2015

23 BSE Paperless Cheque Collection EMEA DE EUR Domestic DE Other Bk2Bk New 31 August 2015 31 August 2015

24 IN Cross Border Customer Credit Transfer EMEA DK All All CT New September 2007 September 2007

25 58 Business-to-business Direct Debit EMEA ES EUR Domestic ES DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

26 19 Business-to-customer Direct Debit EMEA ES EUR Domestic ES DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

27 85 EMEA FR EUR Domestic FR DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

28 08 EMEA FR EUR Domestic FR DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

29 89 EMEA FR EUR Domestic FR DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

30 60 EMEA FR EUR Domestic FR Other Both CR0060/CGI Group New 9 February 2012 9 February 2012

31 RIBANon-pre authorised direct debit

EMEA IT EUR DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

32 RIDO Pre authorised revocable Direct Debit EMEA IT EUR Domestic IT DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

33 RIDV EMEA IT EUR Domestic IT DD Both CR0060/CGI Group New 9 February 2012 9 February 2012

34 IDEAL EMEA NL EUR All Both Netherlands/Ton Versteeg New April 2009 April 2009

35 INSTNT01 InstantCreditTransferNotTimeCritical EMEA NL EUR All CT Both New September 2017 September 2017

36 INSTTC01 InstantCreditTransferTimeCritical EMEA NL EUR All CT Both New September 2017 September 2017

37 INSTIDEAL EMEA NL EUR All CT Both CR0706/DPA New November 2017 November 2017

38 INSTNT01IDEAL EMEA NL EUR All CT Both CR0706/DPA New November 2017 November 2017

39 INSTTC01IDEAL EMEA NL EUR All CT Both CR0706/DPA New November 2017 November 2017

40 NLDO Dutch Domestic Bulk Payment EMEA NL EUR All CT New August 2010 August 2010

41 NLUP Dutch Urgent Payment EMEA NL EUR All CT New August 2010 August 2010

42 ACCEPT EMEA NL EUR All CT New August 2010 August 2010

43 SDN Payments via Standaard Digitale Nota EMEA NL EUR All CT New 6 Dec 2010 6 Dec 2010

Transaction is related to a direct debit that is pre authorised (Abbuchungsauftrag). Transaction is related to the German Image-based Cheque Collection Procedure “Imagegestützter Scheckeinzug - ISE”

CR0468/Deutsche Bundesbank

Transaction is related to the German Paperless Cheque Collection procedure “Belegloser Scheckeinzug - BSE”

CR0468/Deutsche Bundesbank

Transaction is related to cross border customers credit transfers

Payments Harmonisation 2006 External Code List

Transaction is related to a business-to-business direct debit (CSB58).Transaction is related to a business-to-customer direct debit (CSB19).

Pre-authorised Direct Debit Accéléré (Accelerated clearing / 2 Day)Ordinaire (Normal clearing / 4 Day)

Transaction is related to an urgent direct debit that is pre authorised (Avis de Prélèvement accéléré).

Pre-authorised Direct Debit Ordinaire (Normal clearing / 4 Day)

Transaction is related to a direct debit that is pre authorised (Avis de Prélèvement).

Pre-authorised Direct Debit Vérifié (Verified clearing)

Transaction is related to an urgent direct debit that is pre authorised (Avis de Prélèvement vérifié).

Recovered Bill of Exchange or Promissory Note

LCR - Lettre de Change Relevé (Recovered Bill of Exchange) and BOR - Billet à Orde Relevé (Promissory Note)Transaction is related to a non-pre authorised collection (RIBA).

 Domestic IT

Transaction is related to a direct debit that is pre authorised and revocable (RID Ordinario).

Pre authorised revocable urgent Direct Debit

Transaction is related to an urgent direct debit that is pre authorised and revocable (RID Veloce).

Payments via Internet owned by Currence

Transaction is related to payments via internet owned by Currence.The transaction is related to a regular Credit Transfer and will be instantly processed under the Dutch AOS on top of the EPC SCT scheme.

CR0657/Dutch Payments Association

The transaction is related to an Instant Credit Transfer under the rules of the Dutch AOS on top of the EPC SCT Inst scheme.

CR0657/Dutch Payments Association

Payments via Internet owned by Currence using Instant Credit Transfer

Transaction is related to payments via internet owned by Currence which uses an Instant Credit Transfer.

Payments via Internet owned by Currence using InstantCreditTransferNotTimeCritical

Transaction is related to payments via internet owned by Currence which uses a regular Credit Transfer and will be instantly processed under the Dutch AOS on top of the EPC SCT scheme.

Payments via Internet owned by Currence using InstantCreditTransferTimeCritical

Transaction is related to payments via internet owned by Currence which uses an Instant Credit Transfer under the rules of the Dutch AOS on top of the EPC SCT Inst scheme.

Transaction is related to a Domestic payment initiated by PAIN.001

1Q2010 Code Eval CR0012. Dutch Bankers Assoc & Currence

Transaction is related to a Domestic payment initiated by PAIN.001

1Q2010 Code Eval CR0012. Dutch Bankers Assoc & Currence

Payment via Acceptgiro owned by Currence

Transaction is related to payments via Acceptgiro owned by Currence.

1Q2010 Code Eval CR0012. Dutch Bankers Assoc & Currence

Transaction is related to payments via a ‘Standaard Digitale Nota’ InvoiceAcceptgiro payment.

4Q2010 Code Eval CR0055. Dutch Bankers Assoc

Date of printing: 05/08/2023-19:48:48 ISO 20022 External Code Sets- 7-LocalInstrument - Page: 119 of 241

Doc: document.xls 7-LocalInstrument Source: ISO 20022.orgEdition: 05 March 2018

ExternalLocalInstrument1CodeIdentification Information/Details Status

Region Payment System Origin/Requester Status Status Date Introduced DateCode* Name Definition

ISO Country

Code

ISO Currency

Code

DD/CT/ Both/ Other

Corp2Bk, Bk2Bk, or Both

44 NLGOV EMEA NL EUR All DD New August 2010 August 2010

45 0090 Mass Payment Beneficiary EMEA NL EUR CSS CT March 2018 September 2007

46 0091 Mass Payment Ours EMEA NL EUR CSS CT March 2018 September 2007

47 0092 Mass Payment Shared EMEA NL EUR CSS CT March 2018 September 2007

48 0002 Standing Order Transaction is related to standing order. EMEA NL EUR CSS CT March 2018 September 2007

49 0221 One-off Authorisation Transaction is related to one-off authorisation. EMEA NL EUR CSS DD March 2018 September 2007

50 0224 One-off Authorisation Charities Transaction is related to one-off authorisation charities. EMEA NL EUR CSS DD March 2018 September 2007

51 0226 EMEA NL EUR CSS DD March 2018 September 2007

52 0225 One-off Authorisation Tuition Fees EMEA NL EUR CSS DD March 2018 September 2007

53 0222 Standing Authorisation Companies EMEA NL EUR CSS DD March 2018 September 2007

54 0227 EMEA NL EUR CSS DD March 2018 September 2007

55 0220 Standing Authorisation General EMEA NL EUR CSS DD March 2018 September 2007

56 0223 Standing Authorisation Lotteries EMEA NL EUR CSS DD March 2018 September 2007

57 0001 Converted (Bank) Payment EMEA NL EUR CSS CT March 2018 September 2007

58 0000 Business Payment Transaction is related to business payment EMEA NL EUR CT March 2018 September 2007

59 IN Cross Border Customer Credit Transfer EMEA SE All All CT New September 2007 September 2007

60 ONCL Overnight Transaction is related to overnight clearing. EMEA SEPA EUR CT B2B CGI-4Q2010 CR0053 New December 2010 December 2010

61 SDCL Same Day Transaction is related to same day clearing. EMEA SEPA EUR CT B2B CGI-4Q2010 CR0053 New December 2010 December 2010

62 DDNR CoreNoRefund SEPA Core Direct Debit with ‘no refund’ option EMEA SEPA EUR PEACH DD B2B EPC-4Q2009 CR0005 August 2010 January 2010

63 DDFA DirectDebitFixedAmount SEPA Fixed Amount Direct Debit EMEA SEPA EUR PEACH DD B2B EPC-1Q2010 CR0016 New August 2010 August 201064 CORE SEPA Direct Debit - Core Transaction is related to SEPA direct debit -core. EMEA SEPA EUR PEACH DD Both Maintenance SR2009 New April 2009 April 2009

Direct debit initiated by the government with special conditions

Transaction is related to direct debit scheme owned by the NVB

1Q2010 Code Eval CR0012. Dutch Bankers Assoc & Currence

Transaction is related to mass payment beneficiary. Payments Harmonisation 2006 External Code List

Retired-Do not use

Transaction is related to mass payment ours. Payments Harmonisation 2006 External Code List

Retired-Do not use

Transaction is related to mass payment shared. Payments Harmonisation 2006 External Code List

Retired-Do not use

Payments Harmonisation 2006 External Code List

Retired-Do not use

Payments Harmonisation 2006 External Code List

Retired-Do not use

Payments Harmonisation 2006 External Code List

Retired-Do not use

One-off Authorisation Construction Industry

Transaction is related to one-off authorisation construction industry.

Payments Harmonisation 2006 External Code List

Retired-Do not use

Transaction is related to one-off authorisation tuition fees.

Payments Harmonisation 2006 External Code List

Retired-Do not use

Transaction is related to standing authorisation companies.

Payments Harmonisation 2006 External Code List

Retired-Do not use

Standing Authorisation Companies Without Debtor Revocation Right

Transaction is related to standing authorisation companies without debtor revocation right.

Payments Harmonisation 2006 External Code List

Retired-Do not use

Transaction is related to standing authorisation general. Payments Harmonisation 2006 External Code List

Retired-Do not use

Transaction is related to standing authorisation lotteries.

Payments Harmonisation 2006 External Code List

Retired-Do not use

Transaction is related to converted (bank) payment.Conversion of physical instrument to electonric form for transmission to the paying bank and where the original paper document does not continue in the clearing process.The instrument rules change upon conversion.

Payments Harmonisation 2006 External Code List

Retired-Do not use

CSS (Equens Clearing & Settlement

System)

Payments Harmonisation 2006 External Code List

Retired-Do not use

Transaction is related to cross border customer credit transfer.

Payments Harmonisation 2006 External Code List

Corporate banking

Corporate banking

Replaced by DDFA

Date of printing: 05/08/2023-19:48:48 ISO 20022 External Code Sets- 7-LocalInstrument - Page: 120 of 241

Doc: document.xls 7-LocalInstrument Source: ISO 20022.orgEdition: 05 March 2018

ExternalLocalInstrument1CodeIdentification Information/Details Status

Region Payment System Origin/Requester Status Status Date Introduced DateCode* Name Definition

ISO Country

Code

ISO Currency

Code

DD/CT/ Both/ Other

Corp2Bk, Bk2Bk, or Both

65 B2BAMIPM SEPA B2B Direct Debit AMI SEPA B2B Direct Debit AMI based on a paper mandate EMEA SEPA EUR PEACH DD EPC-3Q2011 CR0149 New 2 December 2011 2 December 2011

66 B2B SEPA Business to Business Direct Debit EMEA SEPA EUR PEACH DD Maintenance SR2009 New April 2009 April 2009

67 CR1AMIPM SEPA Core D-1 Direct Debit AMI EMEA SEPA EUR PEACH DD EPC-3Q2011 CR0149 New 2 December 2011 2 December 2011

68 CORAMIPM SEPA Core Direct Debit AMI SEPA Core Direct Debit AMI based on a paper mandate EMEA SEPA EUR PEACH DD EPC-3Q2011 CR0149 New 2 December 2011 2 December 2011

69 COR1 SEPA Direct Debit - 1 Day Settlement Optional shorter time cycle (D-1) for SEPA Core Direct Debit EMEA SEPA EUR PEACH DD EPC-3Q2011 CR0148 New 2 December 2011 2 December 2011

70 FADAMIPM SEPA FA Direct Debit AMI EMEA SEPA EUR PEACH DD EPC-3Q2011 CR0149 New 2 December 2011 2 December 2011

71 INST Instant Credit Transfer GLOBAL GLOBAL All All CT CR0544/EPC New April 2016 11 May 2016

72 ADD AuthenticatedDirectDebit Transaction is unauthenticated direct debit for domestic use. GLOBAL GLOBAL All All DD Both New September 2016 18 November 2016

73 UDD UnauthenticatedDirectDebit Transaction is authenticated direct debit for domestic use. GLOBAL GLOBAL All All DD Both New September 2016 18 November 2016

74 CCI Cash Concentration Intragroup GLOBAL GLOBAL All All GSBA-3Q2011 CR0150 New 2 December 2011 2 December 2011

75 BTR Bank Transfer Transaction is related to a bank transfer. WHEM US USD Fedwire CT B2B FED-2Q2011 CR0073 New 31 August 2011 31 August 201176 CKS Check Same Day Settlement Wire Transaction is related to check same day settlement wire. WHEM US USD Fedwire CT B2B Maintenance SR2009 New April 2009 April 2009

77 CTR Customer Transfer Transaction is related to customer transfer. WHEM US USD Fedwire CT B2B New September 2007 September 2007

78 CTP Customer Transfer Plus WHEM US USD Fedwire CT B2B FED-2Q2011 CR0073 New 31 August 2011 31 August 2011

79 DEP Deposit to Sender’s Account Transaction is related to deposit to sender's account. WHEM US USD Fedwire CT B2B Maintenance SR2009 New April 2009 April 200980 FFR Fed Funds Returned Transaction is related to Fed funds returned. WHEM US USD Fedwire CT B2B Maintenance SR2009 New April 2009 April 200981 FFS Fed Funds Sold Transaction is related to Fed funds sold. WHEM US USD Fedwire CT B2B Maintenance SR2009 New April 2009 April 200982 SVC Non-Value Service Message Transaction is related to non-value service message. WHEM US USD Fedwire B2B Maintenance SR2009 New April 2009 April 2009

83 DRW WHEM US USD Fedwire other B2B April 2009 September 2007

84 DRB WHEM US USD Fedwire B2B Maintenance SR2009 New April 2009 April 2009

85 DRC WHEM US USD Fedwire B2B April 2009 September 2007

86 IAT International ACH Transaction is related to international ACH. WHEM US USD NACHA Both Both US NACHA/Susan Colles New April 2009 April 2009

87 CCD WHEM US USD NACHA Both New September 2007 September 2007

88 CTX Corporate Trade Exchange Transaction is related to corporate trade exchange. WHEM US USD NACHA Both New September 2007 September 2007

89 PPD WHEM US USD NACHA Both New September 2007 September 2007

90 CIE Customer Initiated Entry WHEM US USD NACHA CT Both New August 2010 August 2010

91 RCK Re-presented Check Entry Transaction is related to re-presented check entry. WHEM US USD NACHA CT Both New September 2007 September 2007

Transaction is related to SEPA business to business direct debit.Optional shorter time cycle (D-1) for SEPA Core Direct Debit AMI based on a paper mandate

SEPA Fixed Amount Direct Debit AMI based on a paper mandateTransaction is related to an Instant Credit Transfer.Use case example: SEPA Instant Credit Transfer (SCT Inst)

CR0640/SWIFT/SABSCR0640/SWIFT/SABS

Transaction is related to an intra-group bank initiated cash management payment

DD, CT and

CPAR

Payments Harmonisation 2006 External Code List

Transaction is related to a customer transfer, which may include information related to a cover payment or extended remittance information.

Non-value

Service Message

Drawdown Response (Value) to Honor a Drawdown Request

Transaction is related to drawdown response (value) to honor a drawdown request.

Payments Harmonisation 2006 External Code List

Definition updated

Bank-to-Bank Drawdown Request or Response (Non-value)

Transaction is related to bank-to-bank drawdown request or response (non-value)

Request for credit

Customer or Corporate Drawdown Request or Response (Non-value)

Transaction is related to customer or corporate drawdown request or response (non-value).

Request for credit

Payments Harmonisation 2006 External Code List

Definition updated

Cash Concentration or Disbursement Corporate counterparty.

Transaction is related to cash concentration or disbursement corporate counterparty.

Both plus prenote.

Payments Harmonisation 2006 External Code List

Both plus prenote.

Payments Harmonisation 2006 External Code List

Prearranged Payment or Deposit. Consumer counterparty.

Transaction is related to prearranged payment or deposit consumer counterparty.

Both plus prenote.

Payments Harmonisation 2006 External Code List

A credit entry initiated by or on behalf of the holder of a consumer account

1Q2010 Code Eval, CR0011. Bank of America Merrill LynchPayments Harmonisation 2006 External Code List

Date of printing: 05/08/2023-19:48:48 ISO 20022 External Code Sets- 7-LocalInstrument - Page: 121 of 241

Doc: document.xls 7-LocalInstrument Source: ISO 20022.orgEdition: 05 March 2018

ExternalLocalInstrument1CodeIdentification Information/Details Status

Region Payment System Origin/Requester Status Status Date Introduced DateCode* Name Definition

ISO Country

Code

ISO Currency

Code

DD/CT/ Both/ Other

Corp2Bk, Bk2Bk, or Both

92 ARC Accounts Receivable Check Transaction is related to accounts receivable check. WHEM US USD NACHA DD Both New September 2007 September 2007

93 WEB Internet Initiated Entry Transaction is related to internet initiated entry. WHEM US USD NACHA DD Both New September 2007 September 2007

94 POP Point-Of-Purchase Transaction is related to point-of-purchase. WHEM US USD NACHA DD Both New September 2007 September 2007

95 POS Point-Of-Sale Transaction is related to point-of-sale. WHEM US USD NACHA DD Both New September 2007 September 2007

96 TEL Telephone Initiated Entry Transaction is related to telephone initiated entry. WHEM US USD NACHA DD Both New September 2007 September 2007

* the codes are sorted according to the first five columns of the "information details", then by alphabetical order of the codes

Payments Harmonisation 2006 External Code ListPayments Harmonisation 2006 External Code ListPayments Harmonisation 2006 External Code ListPayments Harmonisation 2006 External Code ListPayments Harmonisation 2006 External Code List

Date of printing: 05/08/2023-19:48:48 ISO 20022 External Code Sets- 8-MandateReason - Page: 122 of 241

Doc: document.xls 8-MandateReason Source: ISO 20022.orgEdition: 31 August 2016

ExternalMandateReason1CodeIdentification Status

Code Name Definition Origin/Requester Status Status Date Introduced Date1 AC01 IncorrectAccountNumber Format of the account number specified is not correct CR0052 3Q2010/EPC New Oct 2010 November 20102 AC04 ClosedAccountNumber Account number specified has been closed on the Receiver's books CR0052 3Q2010/EPC New Oct 2010 November 20103 AC06 BlockedAccount Account specified is blocked, prohibiting posting of transactions against it. CR0052 3Q2010/EPC New Oct 2010 November 20104 AG01 TransactionForbidden Transaction forbidden on this type of account (formerly NoAgreement) CR0052 3Q2010/EPC New Oct 2010 November 20105 AG02 InvalidBankOperationCode Bank Operation code specified in the message is not valid for receiver CR0052 3Q2010/EPC New Oct 2010 November 20106 AM02 NotAllowedAmount Specific transaction/message amount is greater than allowed maximum CR0052 3Q2010/EPC New Oct 2010 November 20107 AM03 NotAllowedCurrency Specified message amount is a non processable currency outside of existing agreement CR0052 3Q2010/EPC New Oct 2010 November 20108 AM05 Duplication Duplication CR0052 3Q2010/EPC New Oct 2010 November 20109 BE01 InconsistenWithEndCustomer Identification of end customer is not consistent with associated account number. (formerly CreditorConsistency). CR0052 3Q2010/EPC New Oct 2010 November 2010

10 BE04 MissingCreditorAddress Specification of creditor's address, which is required for payment, is missing/not correct (formerly IncorrectCreditorAddress). CR0052 3Q2010/EPC New Oct 2010 November 201011 BE05 UnrecognisedInitiatingParty Party who initiated the message is not recognised by the end customer CR0052 3Q2010/EPC New Oct 2010 November 201012 BE06 UnknownEndCustomer End customer specified is not known at associated Sort/National Bank Code or does no longer exist in the books CR0052 3Q2010/EPC New Oct 2010 November 201013 BE07 MissingDebtorAddress Specification of debtor's address, which is required for payment, is missing/not correct. CR0052 3Q2010/EPC New Oct 2010 November 201014 DT01 InvalidDate Invalid date (eg, wrong settlement date) CR0052 3Q2010/EPC New Oct 2010 November 201015 FF01 InvalidFileFormat File format incomplete or invalid CR0052 3Q2010/EPC New Oct 2010 November 201016 MD01 NoMandate No Mandate CR0052 3Q2010/EPC New Oct 2010 November 201017 MD02 MissingMandatoryInformationInMandate Mandate related information data required by the scheme is missing. CR0052 3Q2010/EPC New Oct 2010 November 201018 MD07 EndCustomerDeceased End customer is deceased. CR0052 3Q2010/EPC New Oct 2010 November 201019 MD08 NoMandateServiceByAgent Receiving agent does not offer specified Mandate services CR0052 3Q2010/EPC New Oct 2010 November 201020 MD09 NoMandateServiceOnCustomer Account is not open to specified Mandates services CR0052 3Q2010/EPC New Oct 2010 November 201021 MD10 NoMandateServiceForSpecified Account is not open to specified Mandates services for this particular creditor CR0052 3Q2010/EPC New Oct 2010 November 201022 MD11 UnrecognisedAgent Agent to whom the message needs to be forwarded cannot be located CR0052 3Q2010/EPC New Oct 2010 November 201023 MD12 NotUniqueMandateReference Mandate identification is not unique to the creditor CR0052 3Q2010/EPC New Oct 2010 November 201024 MD13 IncorrectCustomerAuthentication There is a problem with the customer authentication CR0052 3Q2010/EPC New Oct 2010 November 201025 MD14 IncorrectAgent Agent in the payment workflow is incorrect CR0052 3Q2010/EPC New Oct 2010 November 201026 MD15 IncorrectCurrency Currency of the transaction is incorrect CR0052 3Q2010/EPC New Oct 2010 November 201027 MD16 RequestedByCustomer Cancellation/amendment requested by the debtor CR0052 3Q2010/EPC New Oct 2010 November 201028 MD17 RequestedByInitiatingParty Cancellation/amendment requested by the creditor CR0052 3Q2010/EPC New Oct 2010 November 201029 MD18 RequestedByInitiatingPartyAndCustomer Cancellation/amendment requested by the creditor and the debtor CR0052 3Q2010/EPC New Oct 2010 November 201030 MD19 MandateCancelledDueToEarlySettlement Mandate cancellation following early reimbursement of the debit by the debtor CR0638/SWIFT&SABS New August 2016 31 August 201631 MD20 MandateExpired Mandate cancellation following validity expiration CR0638/SWIFT&SABS New August 2016 31 August 201632 MD21 MandateCancelledDueToFraud Mandate cancellation due to suspected fraud CR0638/SWIFT&SABS New August 2016 31 August 201633 MD22 MandateInitiationCancelled Mandate cancellation following mandate initiation cancellation CR0638/SWIFT&SABS New August 2016 31 August 201634 MD23 MandateAmendmentCancelled Mandate cancellation following mandate amendment cancellation CR0638/SWIFT&SABS New August 2016 31 August 201635 MS02 NotSpecifiedReasonCustomer Generated Reason has not been specified by end customer CR0052 3Q2010/EPC New Oct 2010 November 201036 MS03 NotSpecifiedReasonAgentGenerated Reason has not been specified by agent. CR0052 3Q2010/EPC New Oct 2010 November 201037 NARR Narrative Reason is provided as narrative information in the additional reason information. CR0052 3Q2010/EPC New Oct 2010 November 201038 RC01 BankIdentifierIncorrect Bank Identifier code specified in the message has an incorrect format (formerly IncorrectFormatForRoutingCode). CR0052 3Q2010/EPC New Oct 2010 November 201039 RF01 NotUniqueTransactionReference Transaction reference is not unique within the message. CR0052 3Q2010/EPC New Oct 2010 November 201040 RR01 Missing Debtor Account or Identification Specification of the debtor’s account or unique identification needed for reasons of regulatory requirements is insufficient or missing CR0052 3Q2010/EPC New Oct 2010 November 201041 RR02 Missing Debtor Name or Address Specification of the debtor’s name and/or address needed for regulatory requirements is insufficient or missing. CR0052 3Q2010/EPC New Oct 2010 November 201042 RR03 Missing Creditor Name or Address Specification of the creditor’s name and/or address needed for regulatory requirements is insufficient or missing. CR0052 3Q2010/EPC New Oct 2010 November 201043 RR04 Regulatory Reason Regulatory Reason CR0052 3Q2010/EPC New Oct 2010 November 201044 SL01 Specific Service offered by Debtor Agent Due to specific service offered by the Debtor Agent CR0052 3Q2010/EPC New Oct 2010 November 201045 SL11 Creditor not on Whitelist of Debtor New March 2016 1 April 2016

46 SL12 Creditor on Blacklist of Debtor New March 2016 1 April 2016

Whitelisting service offered by the Debtor Agent; Debtor has not included the Creditor on its “Whitelist” (yet). In the Whitelist the Debtor may list all allowed Creditors to debit Debtor bank account.

CR0539 - Dutch Payments Association

Blacklisting service offered by the Debtor Agent; Debtor included the Creditor on his “Blacklist”. In the Blacklist the Debtor may list all Creditors not allowed to debit Debtor bank account.

CR0539 - Dutch Payments Association

Date of printing: 05/08/2023-19:48:48 ISO 20022 External Code Sets- 8-MandateReason - Page: 123 of 241

Doc: document.xls 8-MandateReason Source: ISO 20022.orgEdition: 31 August 2016

ExternalMandateReason1CodeIdentification Status

Code Name Definition Origin/Requester Status Status Date Introduced Date47 SL13 Due to Maximum allowed Direct Debit Transactions per period service offered by the Debtor Agent. New March 2016 1 April 2016

48 SL14 Due to Maximum allowed Direct Debit Transaction amount service offered by the Debtor Agent. New March 2016 1 April 2016

Maximum number of Direct Debit Transactions exceeded

CR0539 - Dutch Payments Association

Maximum Direct Debit Transaction Amount exceeded

CR0539 - Dutch Payments Association

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 9-OrganisationIdentification - Page: 124 of 241

Doc: document.xls 9-OrganisationIdentification Source: ISO 20022.orgEdition: 8 February 2017

ExternalOrganisationIdentification1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 BANK BankPartyIdentification Maintenance SR2009 New April 2009 April 2009

2 CBID Central Bank Identification Number CR0054/CGI New 6 Dec 2010 6 Dec 2010

3 CHID Clearing Identification Number CR0054/CGI New 6 Dec 2010 6 Dec 2010

4 CINC CertificateOfIncorporationNumber CR0649/HKICL New Feb 2017 8 Feb 2017

5 COID CountryIdentificationCode CR0056/Trade SEG New 14 Feb 2011 14 Feb 2011

6 CUST CustomerNumber Maintenance SR2009 New April 2009 April 2009

7 DUNS Data Universal Numbering System Maintenance SR2009 New April 2009 April 2009

8 EMPL EmployerIdentificationNumber Number assigned by a registration authority to an employer. Maintenance SR2009 New April 2009 April 20099 GS1G GS1GLNIdentifier Maintenance SR2009 New April 2009 April 2009

10 SREN SIREN CR0054/CGI New 6 Dec 2010 6 Dec 2010

11 SRET SIRET CR0054/CGI New 6 Dec 2010 6 Dec 2010

12 TXID TaxIdentificationNumber Number assigned by a tax authority to identify an organisation. Maintenance SR2009 New April 2009 April 2009

Code Name DefinitionUnique and unambiguous assignment made by a specific bank or similar financial institution to identify a relationship as defined between the bank and its client. A unique identification number assigned by a central bank to identify an organisation.A unique identification number assigned by a clearing house to identify an organisationA unique identification number assigned by a designated authority to a certificate of incorporation and used to identify an organisation.Country authority given organisation identification (e.g., corporate registration number)Number assigned by an issuer to identify a customer.Number assigned by a party to identify a creditor or debtor relationship.

A unique identification number provided by Dun & Bradstreet to identify an organisation.

Global Location Number. A non-significant reference number used to identify legal entities, functional entities, or physical entities according to GS1 numbering scheme rules.The number is used to retrieve detailed information that is linked to it.

The SIREN number is a 9 digit code assigned by INSEE, the French National Institute for Statistics and Economic Studies, to identify an organisation in France.The SIRET number is a 14 digit code assigned by INSEE, the French National Institute for Statistics and Economic Studies, to identify an organisation unit in France. It consists of the SIREN number, followed by a five digit classification number, to identify the local geographical unit of that entity

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 10-PersonIdentification - Page: 125 of 241

Doc: document.xls 10-PersonIdentification Source: ISO 20022.orgEdition: 9 June, 2009

ExternalPersonIdentification1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 ARNU AlienRegistrationNumber New April 2009 April 2009

2 CCPT PassportNumber New April 2009 April 2009

3 CUST CustomerIdentificationNumber Number assigned by an issuer to identify a customer. New April 2009 April 2009

4 DRLC DriversLicenseNumber Number assigned by an authority to identify a driver's license. New April 2009 April 2009

5 EMPL EmployeeIdentificationNumber Number assigned by a registration authority to an employee. New April 2009 April 2009

6 NIDN NationalIdentityNumber New April 2009 April 2009

7 SOSE SocialSecurityNumber New April 2009 April 2009

8 TXID TaxIdentificationNumber Number assigned by a tax authority to identify a person. New April 2009 April 2009

Code Name DefinitionNumber assigned by a social security agency to identify a non-resident person.

Maintenance SR2009

Number assigned by an authority to identify the passport number of a person.

Maintenance SR2009Maintenance SR2009

Maintenance SR2009Maintenance SR2009

Number assigned by an authority to identify the national identity number of a person.

Maintenance SR2009

Number assigned by an authority to identify the social security number of a person.

Maintenance SR2009Maintenance SR2009

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 11-Purpose - Page: 126 of 241

Doc: document.xls 11-Purpose Source: ISO 20022.orgEdition: 30 November 2017

ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 BKDF Bank Debt Bank Loan Delayed Draw Funding New January 2016 1 April 2016

2 BKFE Bank Debt Bank Loan Fees New January 2016 1 April 2016

3 BKFM Bank Debt Bank Loan Funding Memo New January 2016 1 April 2016

4 BKIP Bank Debt Bank Loan Accrued Interest Payment Accrued interest payments. Specific to bank loans. New January 2016 1 April 2016

5 BKPP Bank Debt Bank Loan Principal Paydown Principal paydowns. Specific to bank loans New January 2016 1 April 2016

6 CBLK Card Settlement Card Bulk Clearing New 08 Oct 2012 08 Oct 2012

7 CDCB Card Settlement CardPayment with CashBack Berlin Group New January 2010 January 2010

8 CDCD Card Settlement CashDisbursement Berlin Group New January 2010 January 2010

9 CDCS Card Settlement Cash Disbursement with Surcharging New 9 February 2012 9 February 2012

10 CDDP Card Settlement Card Deferred Payment New 11 January 2013 11 January 2013

11 CDOC Card Settlement OriginalCredit Berlin Group New January 2010 January 2010

12 CDQC Card Settlement QuasiCash Berlin Group New January 2010 January 2010

Code Classification1 Name DefinitionDelayed draw funding. Certain issuers may utilize delayed draw loans whereby the lender is committed to fund cashwithin a specified period once a call is made by the issuer. The lender receives a fee for entering into such acommitment

CR0527/ISITC/ALMUS

Bank loan fees. Cash activity related to specific bank loan fees, including (a) agent / assignment fees; (b) amendment fees; (c) commitment fees; (d) consent fees; (e) cost of carry fees; (f) delayed compensation fees; (g)facility fees; (h) fronting fees; (i) funding fees; (j) letter of credit assignment fees

CR0527/ISITC/ALMUS

Bank loan funding memo. Net cash movement for the loan contract final notification when sent separately from theloan contract final notification instruction.

CR0527/ISITC/ALMUS

CR0527/ISITC/ALMUSCR0527/ISITC/ALMUS

A Service that is settling money for a bulk of card transactions, while referring to a specific transaction file or other information like terminal ID, card acceptor ID or other transaction details.

CodeEval 3Q2012 CR0251-Berlin Group.

Purchase of Goods and Services with additional Cash disbursement at the POI (Cashback)ATM Cash Withdrawal in an unattended or Cash Advance in an attended environment (POI or bank counter)ATM Cash Withdrawal in an unattended or Cash Advance in an attended environment (POI or bank counter) with surcharging.

CR0153/Berlin Group

A combined service which enables the card acceptor to perform an authorisation for a temporary amount and a completion for the final amount within a limited time frame. Deferred Payment is only available in the unattended environment.Examples where this service is widely used are unattended petrol pumps and phone booths

CodeEval 4Q2012CR0253- Berlin Group

A service which allows the card acceptor to effect a credit to a cardholder' account. Unlike a Merchant Refund, an Original Credit is not preceded by a card payment. This service is used for example for crediting winnings from gaming.

Purchase of Goods which are equivalent to cash like coupons in casinos.

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 11-Purpose - Page: 127 of 241

Doc: document.xls 11-Purpose Source: ISO 20022.orgEdition: 30 November 2017

ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition13 ETUP Card Settlement E-Purse Top Up New 31 May 2012 31 May 2012

14 FCOL Card Settlement Fee Collection New 08 Oct 2012 08 Oct 2012

15 MTUP Card Settlement Mobile Top Up New 9 February 2012 9 February 2012

16 ACCT Cash Mgmt AccountManagement New September 2007 September 2007

17 CASH Cash Mgmt CashManagementTransfer Transaction is a general cash management instruction. April 2009 September 2007

18 COLL Cash Mgmt CollectionPayment New September 2007 September 2007

19 CSDB Cash Mgmt CashDisbursement Transaction is related to cash disbursement. New April 2009 April 2009

20 DEPT Cash Mgmt Deposit Transaction is releted to a payment of deposit. New April 2009 April 2009

21 INTC Cash Mgmt IntraCompanyPayment New September 2007 September 2007

22 LIMA Cash Mgmt LiquidityManagement New September 2007 September 2007

23 NETT Cash Mgmt Netting Transaction is related to a netting operation. New September 2007 September 2007

24 BFWD Collateral Bond Forward New January 2016 1 April 2016

25 CCIR Collateral Cross Currency IRS New January 2016 1 April 2016

Transaction is related to a Service that is first reserving money from a card account and then is loading an e-purse application by this amount.

CR0170/Berlin Group

A Service that is settling card transaction related fees between two parties.

CodeEval 3Q2012 CR0251-Berlin Group.

A Service that is first reserving money from a card account and then is loading a prepaid mobile phone amount by this amount.

CR0153/Berlin Group

Transaction moves funds between 2 accounts of same account holder at the same bank.

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Definition updated

Transaction is a collection of funds initiated via a credit transfer or direct debit.

Payments Harmonisation 2006 External Code List

Maintenance SR2009US NACHA/Susan Colles

Transaction is an intra-company payment, ie, a payment between two companies belonging to the same group.

Payments Harmonisation 2006 External Code List

Bank initiated account transfer to support zero target balance management, pooling or sweeping.

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Cash collateral related to any securities traded out beyond 3 days which include treasury notes, JGBs and Gilts.

CR0527/ISITC/ALMUS

Cash Collateral related to a Cross Currency Interest Rate Swap, indicating the exchange of fixed interest payments in one currency for those in another.

CR0527/ISITC/ALMUS

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition26 CCPC Collateral CCP Cleared Initial Margin New January 2016 1 April 2016

27 CCPM Collateral CCP Cleared Variation Margin New January 2016 1 April 2016

28 CCSM Collateral New January 2016 1 April 2016

29 CRDS Collateral Credit DefaultSwap Cash collateral related to trading of credit default swap. New January 2016 1 April 2016

30 CRPR Collateral Cross Product New January 2016 1 April 2016

31 CRSP Collateral Credit Support New January 2016 1 April 2016

32 CRTL Collateral Credit Line New January 2016 1 April 2016

33 EQPT Collateral Equity Option New January 2016 1 April 2016

34 EQUS Collateral Equity Swap New January 2016 1 April 2016

35 EXPT Collateral Exotic Option New January 2016 1 April 2016

36 EXTD Collateral Exchange Traded Derivatives New January 2016 1 April 2016

37 FIXI Collateral Fixed Income Cash collateral related to a fixed income instrument New January 2016 1 April 2016

38 FWBC Collateral Forward Broker Owned Cash Collateral New January 2016 1 April 2016

39 FWCC Collateral Forward Client Owned Cash Collateral New January 2016 1 April 2016

40 FWSB Collateral New January 2016 1 April 2016

Cash Collateral associated with an ISDA or Central Clearing Agreement that is covering the initial margin requirements for OTC trades clearing through a CCP.

CR0527/ISITC/ALMUS

Cash Collateral associated with an ISDA or Central Clearing Agreement that is covering the variation margin requirements for OTC trades clearing through a CCP.

CR0527/ISITC/ALMUS

CCP Cleared Initial Margin Segregated Cash

CCP Segregated initial margin: Initial margin on OTC Derivatives cleared through a CCP that requires segregation

CR0527/ISITC/ALMUS

CR0527/ISITC/ALMUS

Cash collateral related to a combination of various types of trades.

CR0527/ISITC/ALMUS

Cash collateral related to cash lending/borrowing; letter of Credit; signing of master agreement.

CR0527/ISITC/ALMUS

Cash collateral related to opening of a credit line before trading.

CR0527/ISITC/ALMUS

Cash collateral related to trading of equity option (Also known as stock options).

CR0527/ISITC/ALMUS

Cash collateral related to equity swap trades where the return of an equity is exchanged for either a fixed or a floating rate of interest.

CR0527/ISITC/ALMUS

Cash collateral related to trading of an exotic option for example a non-standard option.

CR0527/ISITC/ALMUS

Cash collateral related to trading of exchanged traded derivatives in general (Opposite to Over the Counter (OTC)).

CR0527/ISITC/ALMUS

CR0527/ISITC/ALMUS

Cash collateral payment against a Master Forward Agreement (MFA) where the cash is held in a segregated account and is not available for use by the client. Includes any instruments with a forward settling date such TBAs, repurchase agreements and bond forwards

CR0527/ISITC/ALMUS

Cash collateral payment against a Master Forward Agreement (MFA) where the cash is owned and may be used by the client when returned. Includes any instruments with a forward settling date such TBAs, repurchase agreements and bond forwards

CR0527/ISITC/ALMUS

Forward Broker Owned Cash Collateral Segregated

Any cash payment related to the collateral for a Master Agreement forward, which is segregated, and not available for use by the client. Example master agreement forwards include TBA, repo and Bond Forwards.

CR0527/ISITC/ALMUS

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition41 FWSC Collateral New January 2016 1 April 2016

42 MARG Collateral Daily margin on listed derivatives New January 2016 1 April 2016

43 MBSB Collateral MBS Broker Owned Cash Collateral New January 2016 1 April 2016

44 MBSC Collateral MBS Client Owned Cash Collateral New January 2016 1 April 2016

45 MGCC Collateral Futures Initial Margin New January 2016 1 April 2016

46 MGSC Collateral New January 2016 1 April 2016

47 OCCC Collateral Client owned OCC pledged collateral Client owned collateral identified as eligible for OCC pledging New January 2016 1 April 2016

48 OPBC Collateral New January 2016 1 April 2016

49 OPCC Collateral New January 2016 1 April 2016

50 OPSB Collateral New January 2016 1 April 2016

51 OPSC Collateral New January 2016 1 April 2016

Forward Client Owned Segregated Cash Collateral

Any cash payment related to the collateral for a Master agreement forward, which is owned by the client and is available for use by the client when it is returned to them from the segregated account. Example master agreement forwards include TBA, repo and Bond Forwards.

CR0527/ISITC/ALMUS

Daily margin on listed derivatives – not segregated as collateral associated with an FCM agreement. Examplesinclude listed futures and options margin payments; premiums for listed options not covered in the MT54X message

CR0527/ISITC/ALMUS

MBS Broker Owned Segregated (40Act/Dodd Frank) Cash Collateral - Any cash payment related to the collateral for a Mortgage Back Security, which is segregated, and not available for use by the client.

CR0527/ISITC/ALMUS

MBS Client Owned Cash Segregated (40Act/Dodd Frank) Cash Collateral - Any cash payment related to the collateral for a Mortgage Back Security, which is owned by the client and is available for use by the client when it is returned to them from the segregated account

CR0527/ISITC/ALMUS

Initial futures margin. Where such payment is owned by the client and is available for use by them on return

CR0527/ISITC/ALMUS

Futures Initial Margin Client Owned Segregated Cash Collateral

Margin Client Owned Segregated Cash Collateral - Any cash payment related to the collateral for initial futures margin, which is owned by the client and is available for use by the client when it is returned to them from the segregated account.

CR0527/ISITC/ALMUS

CR0527/ISITC/ALMUS

OTC Option Broker owned Cash collateral

Cash collateral payment for OTC options associated with an FCM agreement. Where such payment is segregated and not available for use by the client

CR0527/ISITC/ALMUS

OTC Option Client owned Cash collateral

Cash collateral payment for OTC options associated with an FCM agreement. Where such payment is not segregated and is available for use by the client upon return

CR0527/ISITC/ALMUS

OTC Option Broker Owned Segregated Cash Collateral

Option Broker Owned Segregated Cash Collateral - Any cash payment related to the collateral for an OTC option, which is segregated, and not available for use by the client.

CR0527/ISITC/ALMUS

OTC Option Client Owned Cash Segregated Cash Collateral

Option Client Owned Cash Segregated Cash Collateral - Any cash payment related to the collateral for an OTC option, which is owned by the client and is available for use by the client when it is returned to them from the segregated account

CR0527/ISITC/ALMUS

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition52 OPTN Collateral FX Option New January 2016 1 April 2016

53 OTCD Collateral OTC Derivatives New January 2016 1 April 2016

54 REPO Collateral Repurchase Agreement New January 2016 1 April 2016

55 RPBC Collateral Bi-lateral repo broker owned collateral New January 2016 1 April 2016

56 RPCC Collateral Repo client owned collateral New January 2016 1 April 2016

57 RPSB Collateral New January 2016 1 April 2016

58 RPSC Collateral New January 2016 1 April 2016

59 RVPO Collateral Reverse Repurchase Agreement New January 2016 1 April 2016

60 SBSC Collateral Securities Buy Sell Sell Buy Back Cash collateral related to a Securities Buy Sell Sell Buy Back New January 2016 1 April 2016

61 SCIE Collateral Single Currency IRS Exotic New January 2016 1 April 2016

62 SCIR Collateral Single Currency IRS New January 2016 1 April 2016

63 SCRP Collateral Securities Cross Products New January 2016 1 April 2016

64 SHBC Collateral Broker owned collateral Short Sale New January 2016 1 April 2016

65 SHCC Collateral Client owned collateral Short Sale New January 2016 1 April 2016

66 SHSL Collateral Short Sell Cash Collateral related to a Short Sell New January 2016 1 April 2016

67 SLEB Collateral Securities Lending And Borrowing Cash collateral related to Securities lending and borrowing. New January 2016 1 April 2016

68 SLOA Collateral SecuredLoan Cash collateral related to a Secured loan. New January 2016 1 April 2016

69 SWBC Collateral Swap Broker owned cash collateral New January 2016 1 April 2016

Cash collateral related to trading of option on Foreign Exchange.

CR0527/ISITC/ALMUS

Cash collateral related to Over-the-counter (OTC) Derivatives in general for example contracts which are traded and privately negotiated.

CR0527/ISITC/ALMUS

Cash collateral related to a repurchase agreement transaction.

CR0527/ISITC/ALMUS

Bi-lateral repo broker owned collateral associated with a repo master agreement – GMRA or MRA Master RepoAgreements

CR0527/ISITC/ALMUS

Repo client owned collateral associated with a repo master agreement – GMRA or MRA Master Repo Agreements

CR0527/ISITC/ALMUS

Bi-lateral repo broker owned segregated cash collateral

Bi-lateral repo broker owned segregated cash collateral associated with a repo master agreement

CR0527/ISITC/ALMUS

Bi-lateral Repo client owned segregated cash collateral

Repo client owned segregated collateral associated with a repo master agreement

CR0527/ISITC/ALMUS

Cash collateral related to a reverse repurchase agreement transaction.

CR0527/ISITC/ALMUSCR0527/ISITC/ALMUS

Cash collateral related to Exotic single currency interest rate swap.

CR0527/ISITC/ALMUS

Cash collateral related to Single Currency Interest Rate Swap.

CR0527/ISITC/ALMUS

Cash collateral related to Combination of securities-related exposure types.

CR0527/ISITC/ALMUS

Short Sale broker owned collateral associated with a prime broker agreement

CR0527/ISITC/ALMUS

Short Sale client owned collateral associated with a prime brokerage agreement

CR0527/ISITC/ALMUSCR0527/ISITC/ALMUSCR0527/ISITC/ALMUSCR0527/ISITC/ALMUS

Cash collateral payment for swaps associated with an ISDA agreement. . Where such payment is segregated andnot available for use by the client. Includes any cash collateral payments made under the terms of a CSA agreementfor instruments such as swaps and FX forwards.

CR0527/ISITC/ALMUS

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition70 SWCC Collateral Swap Client owned cash collateral New January 2016 1 April 2016

71 SWPT Collateral Swaption Cash collateral related to an option on interest rate swap. New January 2016 1 April 2016

72 SWSB Collateral New January 2016 1 April 2016

73 SWSC Collateral New January 2016 1 April 2016

74 TBAS Collateral To Be Announced Cash collateral related to a To Be Announced (TBA) New January 2016 1 April 2016

75 TBBC Collateral TBA Broker owned cash collateral New January 2016 1 April 2016

76 TBCC Collateral TBA Client owned cash collateral New January 2016 1 April 2016

77 TRCP Collateral Treasury Cross Product New January 2016 1 April 2016

78 AGRT Commercial AgriculturalTransfer Transaction is related to the agricultural domain. April 2009 September 2007

79 AREN Commercial Accounts Receivables Entry New April 2009 April 2009

80 BEXP Commercial BusinessExpenses Transaction is related to a payment of business expenses. New September 2007 September 2007

81 BOCE Commercial Back Office Conversion Entry New April 2009 April 2009

Cash collateral payment for swaps associated with an ISDA agreement. Where such payment is not segregated andis available for use by the client upon return. Includes any cash collateral payments made under the terms of a CSAagreement for instruments such as swaps and FX forwards.

CR0527/ISITC/ALMUS

CR0527/ISITC/ALMUS

Swaps Broker Owned Segregated Cash Collateral

Swaps Broker Owned Segregated Cash Collateral - Any cash payment related to the collateral for Swap margin ,which is segregated, and not available for use by the client. This includes any collateral identified in a CSAagreement such as Swap or FX Forward collateral.

CR0527/ISITC/ALMUS

Swaps Client Owned Segregated Cash Collateral

Swaps Client Owned Segregated Cash Collateral - Any cash payment related to the collateral for Swap margin,which is owned by the client and is available for use by the client when returned from the segregated account. Thisincludes any collateral identified in a CSA agreement such as Swap or FX Forward collateral.

CR0527/ISITC/ALMUS

CR0527/ISITC/ALMUS

Cash collateral payment (segregated) for TBA securities associated with a TBA Master Agreement. Where such payment is segregated and not available for use by the client.

CR0527/ISITC/ALMUS

Cash collateral payment (for use by client)for TBA securities associated with a TBA Master Agreement. Where such payment is not segregated and is available for use by the client upon return.

CR0527/ISITC/ALMUS

Cash collateral related to a combination of treasury-related exposure types.

CR0527/ISITC/ALMUSPayments Harmonisation 2006 External Code List

Definition updated

Transaction is related to a payment associated with an Account Receivable Entry

US NACHA/Susan CollesPayments Harmonisation 2006 External Code List

Transaction is related to a payment associated with a Back Office Conversion Entry

US NACHA/Susan Colles

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition82 COMC Commercial CommercialPayment New September 2007 September 2007

83 CPYR Commercial Copyright Transaction is payment of copyright. New September 2007 September 2007

84 GDDS Commercial PurchaseSaleOfGoods Transaction is related to purchase and sale of goods. New September 2007 September 2007

85 GDSV Commercial PurchaseSaleOfGoodsAndServices New April 2009 April 2009

86 GSCB Commercial New April 2009 April 2009

87 LICF Commercial LicenseFee Transaction is payment of a license fee. New September 2007 September 2007

88 MP2B Commercial Mobile P2B Payment New May 2017 May 2017

89 POPE Commercial Point of Purchase Entry New April 2009 April 2009

90 ROYA Commercial Royalties Transaction is the payment of royalties. New September 2007 September 2007

91 SCVE Commercial PurchaseSaleOfServices Transaction is related to purchase and sale of services. New September 2007 September 2007

92 SUBS Commercial Subscription New September 2007 September 2007

93 SUPP Commercial SupplierPayment Transaction is related to a payment to a supplier. New September 2007 September 2007

Transaction is related to a payment of commercial credit or debit. (formerly CommercialCredit)

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Transaction is related to purchase and sale of goods and services.

Maintenance SR2009

PurchaseSaleOfGoodsAndServicesWithCashBack

Transaction is related to purchase and sale of goods and services with cash back.

Maintenance SR2009Payments Harmonisation 2006 External Code List

A service which enables a user to use an app on its mobile to pay a merchant or other business payees by initiating a payment message. Within this context, the account information or an alias of the payee might be transported through different channels to the app, for example QR Code, NFC, Bluetooth, other Networks.

CR0645/BerlinGroup

Transaction is related to a payment associated with a Point of Purchase Entry.

US NACHA/Susan CollesPayments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Transaction is related to a payment of information or entertainment services either in printed or electronic form.

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition94 TRAD Commercial TradeServices Transaction is related to a trade services operation. New September 2007 September 2007

95 CHAR Consumer CharityPayment Transaction is a payment for charity reasons. New September 2007 September 2007

96 COMT Consumer New September 2007 September 2007

97 MP2P Consumer Mobile P2P Payment New May 2017 May 2017

98 ECPG E-Commerce GuaranteedEPayment New 26 December 2014 26 December 2014

99 ECPR E-Commerce EPaymentReturn E-Commerce payment return. New 26 December 2014 26 December 2014

100 ECPU E-Commerce NonGuaranteedEPayment New 26 December 2014 26 December 2014

101 EPAY E-Commerce Epayment Transaction is related to ePayment. New January 2016 1 April 2016

102 CLPR Finance CarLoanPrincipalRepayment Transaction is a payment of car loan principal payment. April 2009 September 2007

103 COMP Finance Compensation Payment CR0704/EPC New November 2017 November 2017

104 DBTC Finance DebitCollectionPayment Collection of funds initiated via a debit transfer. New April 2009 April 2009

105 GOVI Finance GovernmentInsurance Transaction is related to a payment of government insurance. New September 2007 September 2007

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

ConsumerThirdPartyConsolidatedPayment

Transaction is a payment used by a third party who can collect funds to pay on behalf of consumers, ie credit counseling or bill payment companies.

Payments Harmonisation 2006 External Code List

A service which enables a user to use an app on its mobile to initiate moving funds from his/her bank account to another person’s bank account while not using the account number but an alias information like an MSISDN as account addressing information in his/her app.

CR0645/BerlinGroup

E-Commerce payment with payment guarantee of the issuing bank.

CodeEval 3Q2014 - CR0468 - Association of German Banks

CodeEval 3Q2014 - CR0468 - Association of German Banks

E-Commerce payment without payment guarantee of the issuing bank.

CodeEval 3Q2014 - CR0468 - Association of German Banks

CR0527/ISITC/ALMUSPayments Harmonisation 2006 External Code List

Definition updated

Transaction is related to the payment of a compensation relating to interest loss/value date adjustment and can include fees.

Initial Schema Internal Code List - September 2005Payments Harmonisation 2006 External Code List

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition106 HLRP Finance HousingLoanRepayment Transaction is related to a payment of housing loan. New September 2007 September 2007

107 INPC Finance InsurancePremiumCar Transaction is a payment of car insurance premium. New April 2009 April 2009

108 INSU Finance InsurancePremium Transaction is payment of an insurance premium. New September 2007 September 2007

109 INTE Finance Interest Transaction is payment of interest. New September 2007 September 2007

110 LBRI Finance LaborInsurance Transaction is a payment of labor insurance. New September 2007 September 2007

111 LIFI Finance LifeInsurance Transaction is a payment of life insurance. New September 2007 September 2007

112 LOAN Finance Loan Transaction is related to transfer of loan to borrower. April 2009 September 2007

113 LOAR Finance LoanRepayment Transaction is related to repayment of loan to lender. New September 2007 September 2007

114 PENO Finance PaymentBasedOnEnforcementOrder New 16 July 2012 16 July 2012

115 PPTI Finance PropertyInsurance Transaction is a payment of property insurance. New September 2007 September 2007

116 RELG Finance RentalLeaseGeneral Transaction is for general rental/lease. New September 2016 18 November 2016

117 RINP Finance RecurringInstallmentPayment New September 2007 September 2007

Payments Harmonisation 2006 External Code List

Initial Schema Internal Code List - September 2005Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Definition updated

Payments Harmonisation 2006 External Code List

Payment based on enforcement orders except those arising from judicial alimony decrees.

CodeEval 2Q2012 (CR0244.The Bank Association of Slovenia)

Payments Harmonisation 2006 External Code List

CR0639/SWIFT/SABS

Transaction is related to a payment of a recurring installment made at regular intervals.

Payments Harmonisation 2006 External Code List

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition118 TRFD Finance TrustFund Transaction is related to a payment of a trust fund. New September 2007 September 2007

119 FORW Foreign Exchange Forward Foreign Exchange FX trades with a value date in the future. New January 2016 1 April 2016

120 FXNT Foreign Exchange Foreign Exchange Related Netting New January 2016 1 April 2016

121 ADMG General AdministrativeManagement CR0155/CGI Group New 9 February 2012 9 February 2012

122 ADVA General AdvancePayment Transaction is an advance payment. New September 2007 September 2007

123 BCDM General BearerChequeDomestic Transaction is the payment of a domestic bearer cheque. New 31 August 2015 31 August 2015

124 BCFG General BearerChequeForeign Transaction is the payment of a foreign bearer cheque. New 31 August 2015 31 August 2015

125 BLDM General BuildingMaintenance CR0155/CGI Group New 9 February 2012 9 February 2012

126 BNET General Bond Forward Netting Bond Forward pair-off cash net movement New January 2016 1 April 2016

127 CBFF General CapitalBuilding 16 January 2014 April 2009

128 CBFR General CapitalBuildingRetirement New 16 January 2014 16 January 2014

129 CCRD General CreditCardPayment Transaction is related to a payment of credit card account. New September 2007 September 2007

130 CDBL General CreditCardBill Transaction is related to a payment of credit card bill. New April 2009 April 2009

131 CFEE General CancellationFee Transaction is related to a payment of cancellation fee. New September 2007 September 2007

132 CGDD General CardGeneratedDirectDebit New 16 January 2014 16 January 2014

133 CORT General Trade Settlement Payment New January 2016 1 April 2016

Payments Harmonisation 2006 External Code List

CR0527/ISITC/ALMUS

FX netting if cash is moved by separate wire instead of within the closing FX instruction

CR0527/ISITC/ALMUS

Transaction is related to a payment associated with administrative management.

Payments Harmonisation 2006 External Code List

CR0467/Deutsche BundesbankCR0467/Deutsche Bundesbank

Transaction is related to a payment associated with building maintenance.

CR0527/ISITC/ALMUS

Transaction is related to capital building fringe fortune, ie capital building in general

CR0312/German banking industry

Definition updated

Transaction is related to capital building fringe fortune for retirement

CR0312/German banking industryPayments Harmonisation 2006 External Code List

Initial Schema Internal Code List - September 2005Payments Harmonisation 2006 External Code List

Transaction is related to a direct debit where the mandate was generated by using data from a payment card at the point of sale.

CR0311/German Savings Banks Association

Transaction is related to settlement of a trade, e.g. a foreign exchange deal or a securities transaction.

CR0527/ISITC/ALMUS

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition134 COST General Costs Transaction is related to payment of costs. New September 2007 September 2007

135 CPKC General Carpark Charges Transaction is related to carpark charges. New 6 May 2013 7 May 2013

136 DCRD General Debit Card Payment Transaction is related to a debit card payment. New September 2007 September 2007

137 DSMT General Printed Order Disbursement New 31 August 2015 31 August 2015

138 DVPM General Deliver Against Payment New January 2016 1 April 2016

139 EDUC General Education Transaction is related to a payment of study/tuition fees. New 6 May 2013 7 May 2013

140 FACT General Factor Update related payment Payment related to a factor update New January 2016 1 April 2016

141 FAND General FinancialAidInCaseOfNaturalDisaster New 16 July 2012 16 July 2012

142 FCPM General Late Payment of Fees & Charges New 6 May 2013 7 May 2013

143 FEES General Payment of Fees Payment of fees/charges. Updated November 2017 1 April 2016

144 GOVT General GovernmentPayment New September 2007 September 2007

145 ICCP General IrrevocableCreditCardPayment Transaction is reimbursement of credit card payment. New April 2009 April 2009

146 IDCP General IrrevocableDebitCardPayment Transaction is reimbursement of debit card payment. New April 2009 April 2009

147 IHRP General InstalmentHirePurchaseAgreement New September 2007 September 2007

Payments Harmonisation 2006 External Code List

Code Eval 1Q2013CR0255 - SingaporePayments Harmonisation 2006 External Code List

Transaction is the payment of a disbursement due to a specific type of printed order for a payment of a specified sum, issued by a bank or a post office (Zahlungsanweisung zur Verrechnung)

CR0467/Deutsche Bundesbank

Code used to pre-advise the account servicer of a forthcoming deliver against payment instruction.

CR0527/ISITC/ALMUSCode Eval 1Q2013CR0255 - SingaporeCR0527/ISITC/ALMUS

Financial aid by State authorities for abolition of consequences of natural disasters.

CodeEval 2Q2012 (CR0244.The Bank Association of Slovenia)

Transaction is the payment for late fees & charges. E.g Credit card charges

Code Eval 1Q2013CR0255 - SingaporeCR0527/ISITC/ALMUS - CR0704/EPCTransaction is a payment to or from a government

department.Payments Harmonisation 2006 External Code List

Maintenance SR2009Maintenance SR2009

Transaction is payment for an installment/hire-purchase agreement.

Payments Harmonisation 2006 External Code List

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition148 INSM General Installment Transaction is related to a payment of an installment. New September 2007 September 2007

149 IVPT General Invoice Payment Transaction is the payment for invoices. New 6 May 2013 7 May 2013

150 MCDM General MultiCurrenyChequeDomestic New 31 August 2015 31 August 2015

151 MCFG General MultiCurrenyChequeForeign Transaction is the payment of a foreign multi-currency cheque New 31 August 2015 31 August 2015

152 MSVC General MultipleServiceTypes Transaction is related to a payment for multiple service types. New September 2007 September 2007

153 NOWS General NotOtherwiseSpecified New September 2007 September 2007

154 OCDM General OrderChequeDomestic Transaction is the payment of a domestic order cheque New 31 August 2015 31 August 2015

155 OCFG General OrderChequeForeign Transaction is the payment of a foreign order cheque New 31 August 2015 31 August 2015

156 OFEE General OpeningFee Transaction is related to a payment of opening fee. New September 2007 September 2007

157 OTHR General Other Other payment purpose. New September 2007 September 2007

158 PADD General Preauthorized debit Transaction is related to a pre-authorized debit origination April 2009 September 2007

159 PTSP General PaymentTerms Transaction is related to payment terms specifications New September 2007 September 2007

160 RCKE General Re-presented Check Entry New April 2009 April 2009

161 RCPT General ReceiptPayment Transaction is related to a payment of receipt. New September 2007 September 2007

Payments Harmonisation 2006 External Code List

Code Eval 1Q2013CR0255 - Singapore

Transaction is the payment of a domestic multi-currency cheque

CR0467/Deutsche BundesbankCR0467/Deutsche BundesbankPayments Harmonisation 2006 External Code List

Transaction is related to a payment for type of services not specified elsewhere.

Payments Harmonisation 2006 External Code List

CR0467/Deutsche BundesbankCR0467/Deutsche BundesbankPayments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Definition updated

Payments Harmonisation 2006 External Code List

Transaction is related to a payment associated with a re-presented check entry

US NACHA/Susan CollesPayments Harmonisation 2006 External Code List

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition162 REBT General Rebate Transaction is the payment of a rebate. New 6 May 2013 7 May 2013

163 REFU General Refund Transaction is the payment of a refund. New April 2009 April 2009

164 RENT General Rent Transaction is the payment of rent. New September 2007 September 2007

165 REOD General AccountOverdraftRepayment Transaction is for account overdraft repayment New September 2016 18 November 2016

166 RIMB General 2 December 2013 29 November 2013

167 RPNT General Bi-lateral repo internet netting New January 2016 1 April 2016

168 RRBN General Round Robin Cash payment resulting from a Round Robin New January 2016 1 April 2016

169 RVPM General Receive Against Payment New January 2016 1 April 2016

170 SLPI General PaymentSlipInstruction Transaction is payment of a well formatted payment slip. CR0543/STUZZA New Avril 2016 11 May 2016171 SPLT General Split payments New January 2016 1 April 2016

172 STDY General Study Transaction is related to a payment of study/tuition costs. New September 2007 September 2007

173 TBAN General TBA pair-off netting TBA pair-off cash wire net movement New January 2016 1 April 2016

174 TBIL General Telecommunications Bill New 6 May 2013 7 May 2013

175 TCSC General Town Council Service Charges New 6 May 2013 7 May 2013

176 TELI General Telephone-Initiated Transaction Transaction is related to a payment initiated via telephone. New April 2009 April 2009

177 TMPG General TMPG claim payment Cash payment resulting from a TMPG Claim New January 2016 1 April 2016

178 TPRI General Tri Party Repo Interest Tri-Party Repo related interest New January 2016 1 April 2016

179 TPRP General Tri-party Repo netting Tri-party Repo related net gain/loss cash movement New January 2016 1 April 2016

Code Eval 1Q2013CR0255 - SingaporeMaintenance SR2009Payments Harmonisation 2006 External Code List

CR0639/SWIFT/SABS

Reimbursement of a previous erroneous transaction

Transaction is related to a reimbursement of a previous erroneous transaction.

CodeEval 3Q2013 CR0308-German Savings Banks

Name and definition updated

Bi-lateral repo interest net/bulk payment at rollover/pair-off or other closing scenarios where applicable

CR0527/ISITC/ALMUSCR0527/ISITC/ALMUS

Code used to pre-advise the account servicer of a forthcoming receive against payment instruction.

CR0527/ISITC/ALMUS

Split payments. To be used when cash and security movements for a security trade settlement are instructedseparately.

CR0527/ISITC/ALMUS

Payments Harmonisation 2006 External Code List

CR0527/ISITC/ALMUS

Transaction is related to a payment of telecommunications related bill.

Code Eval 1Q2013CR0255 - Singapore

Transaction is related to a payment associated with charges levied by a town council.

Code Eval 1Q2013CR0255 - SingaporeUS NACHA/Susan CollesCR0527/ISITC/ALMUSCR0527/ISITC/ALMUSCR0527/ISITC/ALMUS

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition180 TRNC General TruncatedPaymentSlip CR0543/STUZZA New Avril 2016 11 May 2016

181 TRVC General TravellerCheque Transaction is the payment of a travellers cheque New 31 August 2015 31 August 2015

182 WEBI General Internet-Initiated Transaction Transaction is related to a payment initiated via internet. New April 2009 April 2009

183 ANNI Investment Annuity New September 2007 September 2007

184 CAFI Investment Custodian Management fee In-house New 08 Oct 2012 08 Oct 2012

185 CFDI Investment Capital falling due In-house New 08 Oct 2012 08 Oct 2012

186 CMDT Investment CommodityTransfer Transaction is payment of commodities. April 2009 September 2007

187 DERI Investment Derivatives Transaction is related to a derivatives transaction New September 2007 September 2007

188 DIVD Investment Dividend Transaction is payment of dividends. New September 2007 September 2007

189 FREX Investment ForeignExchange Transaction is related to a foreign exchange operation. New September 2007 September 2007

190 HEDG Investment Hedging Transaction is related to a hedging operation. New September 2007 September 2007

191 INVS Investment Investment & Securities New 6 May 2013 7 May 2013

192 PRME Investment PreciousMetal Transaction is related to a precious metal operation. New September 2007 September 2007

Transaction is payment of a beneficiary prefilled payment slip where beneficiary to payer information is truncated.

CR0467/Deutsche BundesbankUS NACHA/Susan Colles

Transaction settles annuity related to credit, insurance, investments, other.n

Payments Harmonisation 2006 External Code List

Transaction is the payment of custodian account management fee where custodian bank and current account servicing bank coincide

CodeEval 3Q2012 CR0250-DSGV.

Transaction is the payment of capital falling due where custodian bank and current account servicing bank coincide

CodeEval 3Q2012 CR0250-DSGV.

Payments Harmonisation 2006 External Code List

Definition updated

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Transaction is for the payment of mutual funds, investment products and shares

Code Eval 1Q2013CR0255 SingaporePayments Harmonisation 2006 External Code List

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition193 SAVG Investment Savings Transfer to savings/retirement account. New September 2007 September 2007

194 SECU Investment Securities Transaction is the payment of securities. April 2009 September 2007

195 SEPI Investment Securities Purchase In-house New 08 Oct 2012 08 Oct 2012

196 TREA Investment TreasuryPayment Transaction is related to treasury operations. New September 2007 September 2007

197 UNIT Investment UnitTrustPurchase Transaction is purchase of Unit Trust New September 2016 18 November 2016

198 FNET Listed Derivatives Futures Netting Payment New January 2016 1 April 2016

199 FUTR Listed Derivatives Futures Cash related to futures trading activity. New January 2016 1 April 2016

200 ANTS Medical AnesthesiaServices Transaction is a payment for anesthesia services. New September 2007 September 2007

201 CVCF Medical ConvalescentCareFacility New September 2007 September 2007

202 DMEQ Medical DurableMedicaleEquipment New September 2007 September 2007

203 DNTS Medical DentalServices Transaction is a payment for dental services. New September 2007 September 2007

204 HLTC Medical HomeHealthCare Transaction is a payment for home health care services. New September 2007 September 2007

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Definition updated

Transaction is the payment of a purchase of securities where custodian bank and current account servicing bank coincide

CodeEval 3Q2012 CR0250-DSGV.

Payments Harmonisation 2006 External Code List

CR0639/SWIFT/SABS

Cash associated with a netting of futures payments. Refer to CCPM codeword for netting of initial and variation margin through a CCP

CR0527/ISITC/ALMUS

CR0527/ISITC/ALMUSPayments Harmonisation 2006 External Code List

Transaction is a payment for convalescence care facility services.

Payments Harmonisation 2006 External Code List

Transaction is a payment is for use of durable medical equipment.

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition205 HLTI Medical HealthInsurance Transaction is a payment of health insurance. New September 2007 September 2007

206 HSPC Medical HospitalCare Transaction is a payment for hospital care services. New September 2007 September 2007

207 ICRF Medical IntermediateCareFacility New September 2007 September 2007

208 LTCF Medical LongTermCareFacility Transaction is a payment for long-term care facility services. New September 2007 September 2007

209 MAFC Medical MedicalAidFundContribution Transaction is contribution to medical aid fund. New September 2016 18 November 2016

210 MDCS Medical MedicalServices Transaction is a payment for medical care services. New September 2007 September 2007

211 VIEW Medical VisionCare Transaction is a payment for vision care services. New September 2007 September 2007

212 CDEP OTC Derivatives Credit default event payment Payment related to a credit default event New January 2016 1 April 2016

213 SWFP OTC Derivatives Swap contract final payment Final payments for a swap contract New January 2016 1 April 2016

214 SWPP OTC Derivatives Swap contract partial payment Partial payment for a swap contract New January 2016 1 April 2016

215 SWRS OTC Derivatives Swap contract reset payment Reset payment for a swap contract New January 2016 1 April 2016

216 SWUF OTC Derivatives Swap contract upfront payment Upfront payment for a swap contract New January 2016 1 April 2016

217 ADCS Salary & Benefits AdvisoryDonationCopyrightServices New 27 November 2015 27 November 2015

218 AEMP Salary & Benefits ActiveEmploymentPolicy Payment concerning active employment policy. New 16 July 2012 16 July 2012

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Transaction is a payment for intermediate care facility services.

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

CR0639/SWIFT/SABSPayments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

CR0527/ISITC/ALMUSCR0527/ISITC/ALMUSCR0527/ISITC/ALMUSCR0527/ISITC/ALMUSCR0527/ISITC/ALMUS

Payments for donation, sponsorship, advisory, intellectual and other copyright services.

Code Eval 3Q2015 CR0532 - The Bank Association of Slovenia

CodeEval 2Q2012 (CR0244.The Bank Association of Slovenia)

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition219 ALLW Salary & Benefits Allowance Transaction is the payment of allowances. New 6 May 2013 7 May 2013

220 ALMY Salary & Benefits AlimonyPayment Transaction is the payment of alimony. New September 2007 September 2007

221 BBSC Salary & Benefits Baby Bonus Scheme New 6 May 2013 7 May 2013

222 BECH Salary & Benefits ChildBenefit New September 2007 September 2007

223 BENE Salary & Benefits UnemploymentDisabilityBenefit New September 2007 September 2007

224 BONU Salary & Benefits BonusPayment. Transaction is related to payment of a bonus. New September 2007 September 2007

225 CCHD Salary & Benefits New April 2016 May 2016

226 COMM Salary & Benefits Commission Transaction is payment of commission. New September 2007 September 2007

227 CSLP Salary & Benefits CompanySocialLoanPaymentToBank New April 2009 April 2009

228 GFRP Salary & Benefits GuaranteeFundRightsPayment New 16 July 2012 16 July 2012

229 GVEA Salary & Benefits New April 2009 April 2009

230 GVEB Salary & Benefits New April 2009 April 2009

231 GVEC Salary & Benefits New April 2009 April 2009

232 GVED Salary & Benefits New April 2009 April 2009

Code Eval 1Q2013CR0255 - SingaporePayments Harmonisation 2006 External Code List

Transaction is related to a payment made as incentive to encourage parents to have more children

Code Eval 1Q2013CR0255 - Singapore

Transaction is related to a payment made to assist parent/guardian to maintain child.

Payments Harmonisation 2006 External Code List

Transaction is related to a payment to a person who is unemployed/disabled.

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Cash compensation, Helplessness, Disability

Payments made by Government institute related to cash compensation, helplessness, disability. These payments are made by the Government institution as a social benefit in addition to regularly paid salary or pension.

CR0545/Bank Association of Slovenia

Payments Harmonisation 2006 External Code List

Transaction is a payment by a company to a bank for financing social loans to employees.

Initial Schema Internal Code List - September 2005

Compensation to unemployed persons during insolvency procedures.

CodeEval 2Q2012 (CR0244.The Bank Association of Slovenia)

Austrian Government Employees Category A

Transaction is payment to category A Austrian government employees.

Maintenance SR2009

Austrian Government Employees Category B

Transaction is payment to category B Austrian government employees.

Maintenance SR2009

Austrian Government Employees Category C

Transaction is payment to category C Austrian government employees.

Maintenance SR2009

Austrian Government Employees Category D

Transaction is payment to category D Austrian government employees.

Maintenance SR2009

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition233 GWLT Salary & Benefits GovermentWarLegislationTransfer Payment to victims of war violence and to disabled soldiers. New 16 July 2012 16 July 2012

234 HREC Salary & Benefits Housing Related Contribution New 28 November 2014 28 November 2014

235 PAYR Salary & Benefits Payroll Transaction is related to the payment of payroll. New April 2009 April 2009

236 PEFC Salary & Benefits PensionFundContribution Transaction is contribution to pension fund. New September 2016 18 November 2016

237 PENS Salary & Benefits PensionPayment Transaction is the payment of pension. New September 2007 September 2007

238 PRCP Salary & Benefits PricePayment Transaction is related to a payment of a price. New September 2007 September 2007

239 RHBS Salary & Benefits RehabilitationSupport Benefit for the duration of occupational rehabilitation. New 16 July 2012 16 July 2012

240 SALA Salary & Benefits SalaryPayment Transaction is the payment of salaries. New September 2007 September 2007

241 SSBE Salary & Benefits SocialSecurityBenefit New September 2007 September 2007

242 LBIN Securities Lending Lending Buy-In Netting New January 2016 1 April 2016

243 LCOL Securities Lending Lending Cash Collateral Free Movement New January 2016 1 April 2016

CodeEval 2Q2012 (CR0244.The Bank Association of Slovenia)

Transaction is a contribution by an employer to the housing expenditures (purchase, construction, renovation) of the employees within a tax free fringe benefit system

Code Eval 3Q2014 CR0459 - Hungary

Initial Schema Internal Code List - September 2005CR0639/SWIFT/SABSPayments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

CodeEval 2Q2012 (CR0244.The Bank Association of Slovenia)

Payments Harmonisation 2006 External Code List

Transaction is a social security benefit, ie payment made by a government to support individuals.

Payments Harmonisation 2006 External Code List

Net payment related to a buy-in. When an investment manager is bought in on a sell trade that fails due to a failed securities lending recall, the IM may seize the underlying collateral to pay for the buy-in. Any difference between the value of the collateral and the sell proceeds would be paid or received under this code

CR0527/ISITC/ALMUS

Free movement of cash collateral. Cash collateral paid by the borrower is done separately from the delivery of the shares at loan opening or return of collateral done separately from return of the loaned security. Note: common when the currency of the security is different the currency of the cash collateral.

CR0527/ISITC/ALMUS

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition244 LFEE Securities Lending Lending Fees New January 2016 1 April 2016

245 LMEQ Securities Lending New January 2016 1 April 2016

246 LMFI Securities Lending New January 2016 1 April 2016

247 LMRK Securities Lending New January 2016 1 April 2016

248 LREB Securities Lending Lending rebate payments Securities lending rebate payments New January 2016 1 April 2016

249 LREV Securities Lending Lending Revenue Payments Revenue payments made by the lending agent to the client New January 2016 1 April 2016

250 LSFL Securities Lending Lending Claim Payment New January 2016 1 April 2016

251 ESTX Tax EstateTax Transaction is related to a payment of estate tax. New September 2007 September 2007

252 FWLV Tax Foreign Worker Levy Transaction is related to a payment of Foreign Worker Levy New 6 May 2013 7 May 2013

253 GSTX Tax Goods & Services Tax Transaction is the payment of Goods & Services Tax New 6 May 2013 7 May 2013

254 HSTX Tax HousingTax Transaction is related to a payment of housing tax. New September 2007 September 2007

255 INTX Tax IncomeTax Transaction is related to a payment of income tax. New September 2007 September 2007

256 NITX Tax NetIncomeTax Transaction is related to a payment of net income tax. New April 2009 April 2009

257 PTXP Tax Property Tax Transaction is related to a payment of property tax. New 6 May 2013 7 May 2013

258 RDTX Tax Road Tax Transaction is related to a payment of road tax. New 6 May 2013 7 May 2013

Fee payments, other than rebates, for securities lending. Includes (a) exclusive fees; (b) transaction fees; (c)custodian fees; (d) minimum balance fees

CR0527/ISITC/ALMUS

Lending Equity marked-to-market cash collateral

Cash collateral payments resulting from the marked-to-market of a portfolio of loaned equity securities

CR0527/ISITC/ALMUS

Lending Fixed Income marked-to-market cash collateral

Cash collateral payments resulting from the marked-to-market of a portfolio of loaned fixed income securities

CR0527/ISITC/ALMUS

Lending unspecified type of marked-to-market cash collateral

Cash collateral payments resulting from the marked-to-market of a portfolio of loaned securities where the instrumenttypes are not specified

CR0527/ISITC/ALMUS

CR0527/ISITC/ALMUSCR0527/ISITC/ALMUS

Payments made by a borrower to a lending agent to satisfy claims made by the investment manager related to sell fails from late loan recall deliveries

CR0527/ISITC/ALMUS

Payments Harmonisation 2006 External Code List

Code Eval 1Q2013CR0255 - SingaporeCode Eval 1Q2013CR0255 - SingaporePayments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Initial Schema Internal Code List - September 2005Code Eval 1Q2013CR0255 - SingaporeCode Eval 1Q2013CR0255 - Singapore

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition259 TAXS Tax TaxPayment Transaction is the payment of taxes. New September 2007 September 2007

260 VATX Tax ValueAddedTaxPayment Transaction is the payment of value added tax. New September 2007 September 2007

261 WHLD Tax WithHolding Transaction is related to a payment of withholding tax. New April 2009 April 2009

262 TAXR Tax TaxRefund Transaction is the refund of a tax payment or obligation. CR0155/CGI Group New 9 February 2012 9 February 2012263 B112 Trailer Fee Trailer Fee Payment US mutual fund trailer fee (12b-1) payment New January 2016 1 April 2016

264 BR12 Trailer Fee Trailer Fee Rebate US mutual fund trailer fee (12b-1) rebate payment New January 2016 1 April 2016

265 TLRF Trailer Fee Non-US mutual fund trailer fee payment New January 2016 1 April 2016

266 TLRR Trailer Fee New January 2016 1 April 2016

267 AIRB Transport Air Transaction is a payment for air transport related business. April 2009 April 2009

268 BUSB Transport Bus Transaction is a payment for bus transport related business. April 2009 April 2009

269 FERB Transport Ferry Transaction is a payment for ferry related business. New September 2007 September 2007

270 RLWY Transport Railway New September 2007 September 2007

271 TRPT Transport RoadPricing New 6 May 2013 7 May 2013

272 CBTV Utilities CableTVBill Transaction is related to a payment of cable TV bill. New September 2007 September 2007

Payments Harmonisation 2006 External Code ListPayments Harmonisation 2006 External Code List

Initial Schema Internal Code List - September 2005

CR0527/ISITC/ALMUSCR0527/ISITC/ALMUS

Any non-US mutual fund trailer fee (retrocession) payment (use ISIN to determine onshore versus offshore designation)

CR0527/ISITC/ALMUS

Non-US mutual fund trailer fee rebate payment

Any non-US mutual fund trailer fee (retrocession) rebate payment (use ISIN to determine onshore versus offshore designation)

CR0527/ISITC/ALMUS

Payments Harmonisation 2006 External Code List

Definition updated

Payments Harmonisation 2006 External Code List

Definition updated

Payments Harmonisation 2006 External Code List

Transaction is a payment for railway transport related business.

Payments Harmonisation 2006 External Code List

Transaction is for the payment to top-up pre-paid card and electronic road pricing for the purpose of transportation

Code Eval 1Q2013CR0255 - SingaporePayments Harmonisation 2006 External Code List

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ExternalPurpose1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Classification1 Name Definition273 ELEC Utilities ElectricityBill Transaction is related to a payment of electricity bill. New September 2007 September 2007

274 ENRG Utilities Energies Transaction is related to a utility operation. New September 2007 September 2007

275 GASB Utilities GasBill Transaction is related to a payment of gas bill. New September 2007 September 2007

276 NWCH Utilities NetworkCharge Transaction is related to a payment of network charges. New September 2007 September 2007

277 NWCM Utilities NetworkCommunication New September 2007 September 2007

278 OTLC Utilities OtherTelecomRelatedBill New September 2007 September 2007

279 PHON Utilities TelephoneBill Transaction is related to a payment of telephone bill. New September 2007 September 2007

280 UBIL Utilities Utilities New 6 May 2013 7 May 2013

281 WTER Utilities WaterBill Transaction is related to a payment of water bill. New September 2007 September 2007

1. The column "Classification" has been provided for convenience only. It has no function within the schema.

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Transaction is related to a payment of network communication.

Payments Harmonisation 2006 External Code List

Transaction is related to a payment of other telecom related bill.

Payments Harmonisation 2006 External Code List

Payments Harmonisation 2006 External Code List

Transaction is for the payment to common utility provider that provide gas, water and/or electricity.

Code Eval 1Q2013CR0255 - SingaporePayments Harmonisation 2006 External Code List

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ExternalReportingSource1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 ACCT Accounting Statement or Report is based on accounting data. Maintenance SR2009 New April 2009 April 2009

2 ARPF Account Reconciliation System - Full Maintenance SR2009 New April 2009 April 2009

3 ARPP Account Reconciliation System - Partial Maintenance SR2009 New April 2009 April 2009

4 CTDB Controlled Disbursement System A sub-application that reports presentment totals Maintenance SR2009 New April 2009 April 2009

5 CUST Custody Statement or Report is based on custody data. Maintenance SR2009 New April 2009 April 2009

6 DEPT Deposit System Cash or deposit accounting system Maintenance SR2009 New April 2009 April 2009

7 DPCS Deposit Concentration System Maintenance SR2009 New April 2009 April 2009

8 LKBX Lockbox Maintenance SR2009 New April 2009 April 2009

9 RCPT Receipts Maintenance SR2009 New April 2009 April 2009

Code Name Definition

An account reconciliation system that provides full reconciliation that usually addresses checksAn account reconciliation system that provides partial reconciliation that usually addresses checks

Deposit system that reports what has been collected from various financial institutionsProcessing system that captures and reports check data in a lockbox environment.A system that reports consolidated remittance information obtained from various , i.e., ACH, wires, lockbox, etc.

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ExternalReturnReason1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 AC01 IncorrectAccountNumber Format of the account number specified is not correct Maintenance SR2009 New April 2009 April 2009

2 AC03 InvalidCreditorAccountNumber Wrong IBAN in SCT New 08 Oct 2012 08 Oct 2012

3 AC04 ClosedAccountNumber Maintenance SR2009 New April 2009 April 2009

4 AC06 BlockedAccount Maintenance SR2009 New April 2009 April 2009

5 AC13 InvalidDebtorAccountType Debtor account type is missing or invalid New 6 May 2013 7 May 2013

6 AC14 InvalidAgent An agent in the payment chain is invalid. New September 2016 18 November 2016

7 AG01 TransactionForbidden Maintenance SR2009 New April 2009 April 2009

8 AG02 InvalidBankOperationCode Maintenance SR2009 New April 2009 April 2009

9 AM01 ZeroAmount Specified message amount is equal to zero Maintenance SR2009 New April 2009 April 2009

10 AM02 NotAllowedAmount Maintenance SR2009 New April 2009 April 2009

11 AM03 NotAllowedCurrency Maintenance SR2009 New April 2009 April 2009

12 AM04 InsufficientFunds Maintenance SR2009 New April 2009 April 2009

13 AM05 Duplication Duplication Maintenance SR2009 New April 2009 April 2009

14 AM06 TooLowAmount Specified transaction amount is less than agreed minimum. Maintenance SR2009 New April 2009 April 2009

15 AM07 BlockedAmount Maintenance SR2009 New April 2009 April 2009

16 AM09 WrongAmount Amount received is not the amount agreed or expected Maintenance SR2009 New April 2009 April 2009

17 AM10 InvalidControlSum Sum of instructed amounts does not equal the control sum. Maintenance SR2009 New April 2009 April 2009

18 ARDT AlreadyReturnedTransaction Already returned original SCT New 08 Oct 2012 08 Oct 2012

Code Name Definition

CodeEval 3Q2012 CR0247-CFONB.

Account number specified has been closed on the bank of account's booksAccount specified is blocked, prohibiting posting of transactions against it.

CodeEval 1Q2013 CR0257 - EPCCR0641/SWIFTSABS

Transaction forbidden on this type of account (formerly NoAgreement)Bank Operation code specified in the message is not valid for receiver

Specific transaction/message amount is greater than allowed maximumSpecified message amount is an non processable currency outside of existing agreementAmount of funds available to cover specified message amount is insufficient.

Amount of funds available to cover specified message amount is insufficient.

CodeEval 3Q2012 CR0247-CFONB.

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ExternalReturnReason1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition19 BE01 InconsistenWithEndCustomer Maintenance SR2009 New April 2009 April 2009

20 BE04 MissingCreditorAddress Maintenance SR2009 New April 2009 April 2009

21 BE05 UnrecognisedInitiatingParty Maintenance SR2009 New April 2009 April 2009

22 BE06 UnknownEndCustomer Maintenance SR2009 New April 2009 April 2009

23 BE07 MissingDebtorAddress Maintenance SR2009 New April 2009 April 2009

24 BE08 BankError Returned as a result of a bank error. New March 2016 1 April 2016

25 CNOR Creditor bank is not registered Creditor bank is not registered under this BIC in the CSM New 16 July 2012 16 July 2012

26 CURR IncorrectCurrency Currency of the payment is incorrect Maintenance SR2009 New April 2009 April 2009

27 CUST RequestedByCustomer Cancellation requested by the Debtor Maintenance SR2009 New April 2009 April 2009

28 DNOR Debtor bank is not registered Debtor bank is not registered under this BIC in the CSM New 16 July 2012 16 July 2012

29 DS28 ReturnForTechnicalReason New September 2016 18 November 2016

30 DT01 InvalidDate Invalid date (eg, wrong settlement date) Maintenance SR2009 New April 2009 April 2009

31 ED01 CorrespondentBankNotPossible Correspondent bank not possible. Maintenance SR2009 New April 2009 April 2009

32 ED03 BalanceInfoRequest Balance of payments complementary info is requested Maintenance SR2009 New April 2009 April 2009

33 ED05 SettlementFailed Settlement of the transaction has failed. Maintenance SR2009 New April 2009 April 2009

34 EMVL EMV Liability Shift CR0154/Berlin Group New 9 February 2012 9 February 2012

35 FF05 InvalidLocalInstrumentCode Local Instrument code is missing or invalid New 6 May 2013 7 May 2013

Identification of end customer is not consistent with associated account number (formerly CreditorConsistency).

Specification of creditor's address, which is required for payment, is missing/not correct (formerly IncorrectCreditorAddress).Party who initiated the message is not recognised by the end customerEnd customer specified is not known at associated Sort/National Bank Code or does no longer exist in the books

Specification of debtor's address, which is required for payment, is missing/not correct.

CR0537 - APCA/SWIFTCodeEval 2Q2012 (CR0243. EPC)

CodeEval 2Q2012 (CR0243. EPC)

Return following technical problems resulting in erroneous transaction.

CRO641/SWIFTSABS

The card payment is fraudulent and was not processed with EMV technology for an EMV card.

CodeEval 1Q2013 CR0257 - EPC

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ExternalReturnReason1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition36 FOCR FollowingCancellationRequest Return following a cancellation request New January 2010 January 2010

37 FR01 Fraud Returned as a result of fraud. New March 2016 1 April 2016

38 FRTR FinalResponseMandateCancelled Final response/tracking is recalled as mandate is cancelled. New September 2016 18 November 2016

39 MD01 NoMandate No Mandate Maintenance SR2009 New April 2009 April 2009

40 MD02 Maintenance SR2009 New April 2009 April 2009

41 MD06 RefundRequestByEndCustomer Return of funds requested by end customer Maintenance SR2009 New April 2009 April 2009

42 MD07 EndCustomerDeceased End customer is deceased. Maintenance SR2009 New April 2009 April 2009

43 MS02 Reason has not been specified by end customer Maintenance SR2009 New April 2009 April 2009

44 MS03 Reason has not been specified by agent. Maintenance SR2009 New April 2009 April 2009

45 NARR Narrative Maintenance SR2009 New April 2009 April 2009

46 NOAS NoAnswerFromCustomer No response from Beneficiary New 08 Oct 2012 08 Oct 2012

47 NOOR NoOriginalTransactionReceived Original SCT never received New 08 Oct 2012 08 Oct 2012

48 PINL PIN Liability Shift CR0154/Berlin Group New 9 February 2012 9 February 2012

49 RC01 BankIdentifierIncorrect Maintenance SR2009 New April 2009 April 2009

50 RC07 InvalidCreditorBICIdentifier Incorrrect BIC of the beneficiary Bank in the SCTR New 08 Oct 2012 08 Oct 2012

51 RF01 NotUniqueTransactionReference Transaction reference is not unique within the message. Maintenance SR2009 New April 2009 April 2009

52 RR01 Maintenance SR2009 New April 2009 April 2009

4Q2009 CR0006/EPCCR0537 - APCA/SWIFTCRO641/SWIFTSABS

MissingMandatoryInformationIn Mandate

Mandate related information data required by the scheme is missing.

NotSpecifiedReasonCustomer GeneratedNotSpecifiedReasonAgent Generated

Reason is provided as narrative information in the additional reason information.

CodeEval 3Q2012 CR0247-CFONBCodeEval 3Q2012 CR0247-CFONB

The card payment is fraudulent (lost and stolen fraud) and was processed as EMV transaction without PIN verification.

Bank Identifier code specified in the message has an incorrect format (formerly IncorrectFormatForRoutingCode).

CodeEval 3Q2012 CR0247-CFONB

Missing Debtor Account or Identification

Specification of the debtor’s account or unique identification needed for reasons of regulatory requirements is insufficient or missing

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ExternalReturnReason1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition53 RR02 Missing Debtor Name or Address Maintenance SR2009 New April 2009 April 2009

54 RR03 Missing Creditor Name or Address Maintenance SR2009 New April 2009 April 2009

55 RR04 Regulatory Reason Regulatory Reason Maintenance SR2009 New April 2009 April 2009

56 RUTA ReturnUponUnableToApply New September 2016 18 November 2016

57 SL01 Due to specific service offered by the Debtor Agent Maintenance SR2009 New April 2009 April 2009

58 SL02 Due to specific service offered by the Creditor Agent Maintenance SR2009 New April 2009 April 2009

59 SL11 Creditor not on Whitelist of Debtor New March 2016 1 April 2016

60 SL12 Creditor on Blacklist of Debtor New March 2016 1 April 2016

61 SL13 New March 2016 1 April 2016

62 SL14 New March 2016 1 April 2016

63 SVNR ServiceNotRendered CR0154/Berlin Group New 9 February 2012 9 February 2012

64 TM01 CutOffTime Maintenance SR2009 New April 2009 April 2009

65 TRAC RemovedFromTracking New September 2016 18 November 2016

66 UPAY UnduePayment Payment is not justified. New September 2016 18 November 2016

Specification of the debtor’s name and/or address needed for regulatory requirements is insufficient or missing.Specification of the creditor’s name and/or address needed for regulatory requirements is insufficient or missing.

Return following investigation request and no remediation possible.

CRO641/SWIFTSABS

Specific Service offered by Debtor AgentSpecific Service offered by Creditor Agent

Whitelisting service offered by the Debtor Agent; Debtor has not included the Creditor on its “Whitelist” (yet). In the Whitelist the Debtor may list all allowed Creditors to debit Debtor bank account.

CR0540 - Dutch Payments Association

Blacklisting service offered by the Debtor Agent; Debtor included the Creditor on his “Blacklist”. In the Blacklist the Debtor may list all Creditors not allowed to debit Debtor bank account.

CR0540 - Dutch Payments Association

Maximum number of Direct Debit Transactions exceeded

Due to Maximum allowed Direct Debit Transactions per period service offered by the Debtor Agent.

CR0540 - Dutch Payments Association

Maximum Direct Debit Transaction Amount exceeded

Due to Maximum allowed Direct Debit Transaction amount service offered by the Debtor Agent.

CR0540 - Dutch Payments Association

The card payment is returned since a cash amount rendered was not correct or goods or a service was not rendered to the customer, e.g. in an e-commerce situation.

Associated message was received after agreed processing cut-off time.Return following direct debit being removed from tracking process.

CRO641/SWIFTSABSCRO641/SWIFTSABS

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 14-ReversalReason - Page: 152 of 241

Doc: document.xls 14-ReversalReason Source: ISO 20022.orgEdition: 22 October, 2012

ExternalReversalReason1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 AC03 InvalidCreditorAccountNumber Wrong IBAN in SCT New 08 Oct 2012 08 Oct 2012

2 AC04 ClosedAccountNumber Account number specified has been closed on the Receiver's books Maintenance SR2009 New April 2009 April 2009

3 AG02 InvalidBankOperationCode Bank Operation code specified in the message is not valid for receiver Maintenance SR2009 New April 2009 April 2009

4 AM05 Duplication Duplication Maintenance SR2009 New April 2009 April 2009

5 AM09 WrongAmount Wrong amount in SCT New 08 Oct 2012 08 Oct 2012

6 MD01 NoMandate No Mandate Maintenance SR2009 New April 2009 April 2009

7 MD05 CollectionNotDue Creditor or creditor's agent should not have collected the direct debit Maintenance SR2009 New April 2009 April 2009

8 MS02 NotSpecifiedReasonCustomerGenerated Reason has not been specified by end customer Maintenance SR2009 New April 2009 April 2009

9 MS03 NotSpecifiedReasonAgentGenerated Reason has not been specified by agent. Maintenance SR2009 New April 2009 April 2009

10 RC07 InvalidCreditorBICIdentifier Wrong BIC in SCT New 08 Oct 2012 08 Oct 2012

11 TM01 CutOffTime Associated message was received after agreed processing cut-off time. Maintenance SR2009 New April 2009 April 2009

Code Name DefinitionCodeEval 3Q2012 CR0248-CFONB.

CodeEval 3Q2012 CR0248-CFONB.

CodeEval 3Q2012 CR0248-CFONB.

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 15-ServiceLevel - Page: 153 of 241

Doc: document.xls 15-ServiceLevel Source: ISO 20022.orgEdition:31 August 2015

ExternalServiceLevel1Code

Identification Status

Status Status Date Introduced Date1 BKTR Book Transaction Payment through internal book transfer. Maintenance SR2009 New April 2009 April 20092 NUGP Non-urgent Priority Payment Maintenance SR2009 New April 2009 April 2009

3 NURG Non-urgent Payment Maintenance SR2009 New April 2009 April 2009

4 PRPT EBAPriorityService Maintenance SR2009 New April 2009 April 2009

5 SDVA SameDayValue Payment must be executed with same day value to the creditor. Maintenance SR2009 New April 2009 April 2009

6 SEPA SingleEuroPaymentsArea Maintenance SR2009 New April 2009 April 2009

7 SVDE Domestic Cheque Clearing and Settlement New 31 August 2015 31 August 2015

8 URGP Urgent Payment Maintenance SR2009 New April 2009 April 2009

9 URNS Urgent Payment Net Settlement Maintenance SR2009 New April 2009 April 2009

Code Name Definition Origin/Requester

Payment must be executed as a non-urgent transaction with priority settlement.Payment must be executed as a non-urgent transaction, which is typically identified as an ACH or low value transaction. Transaction must be processed according to the EBA Priority Service.

Payment must be executed following the Single Euro Payments Area scheme.

Payment execution following the cheque agreement and traveller cheque agreement of the German Banking Industry Committee (Die Deutsche Kreditwirtschaft - DK) and Deutsche Bundesbank – Scheck Verrechnung Deutschland

CR0469/Deutsche Bundesbank

Payment must be executed as an urgent transaction cleared through a real-time gross settlement system, which is typically identified as a wire or high value transaction. Payment must be executed as an urgent transaction cleared through a real-time net settlement system, which is typically identified as a wire or high value transaction.

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 16-StatusReason - Page: 154 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced Date1 AB01 AbortedClearingTimeout Clearing process aborted due to timeout. New March 2016 1 April 2016

2 AB02 AbortedClearingFatalError New March 2016 1 April 2016

3 AB03 AbortedSettlementTimeout New March 2016 1 April 2016

4 AB04 AbortedSettlementFatalError New March 2016 1 April 2016

5 AB05 TimeoutCreditorAgent Transaction stopped due to timeout at the Creditor Agent. CR043/EPC New November 2016 18 November 20166 AB06 TimeoutInstructedAgent Transaction stopped due to timeout at the Instructed Agent. CR043/EPC New November 2016 18 November 20167 AB07 OfflineAgent CR043/EPC New November 2016 18 November 2016

8 AB08 OfflineCreditorAgent Creditor Agent is not online. CR043/EPC New November 2016 18 November 20169 AB09 ErrorCreditorAgent Transaction stopped due to error at the Creditor Agent. CR043/EPC New November 2016 18 November 2016

10 AB10 ErrorInstructedAgent Transaction stopped due to error at the Instructed Agent. CR043/EPC New November 2016 18 November 201611 AC01 IncorrectAccountNumber Maintenance SR2009 August 2010 April 2009

12 AC02 InvalidDebtorAccountNumber Debtor account number invalid or missing New August 2010 August 2010

13 AC03 InvalidCreditorAccountNumber Creditor account number invalid or missing New August 2010 August 2010

14 AC04 ClosedAccountNumber Maintenance SR2009 August 2010 April 2009

15 AC05 ClosedDebtorAccountNumber Debtor account number closed New August 2010 August 2010

16 AC06 BlockedAccount Account specified is blocked, prohibiting posting of transactions against it. Maintenance SR2009 New April 2009 April 2009

17 AC07 ClosedCreditorAccountNumber Creditor account number closed New August 2010 August 2010

18 AC08 InvalidBranchCode Branch code is invalid or missing New August 2010 August 2010

19 AC09 InvalidAccountCurrency Account currency is invalid or missing New August 2010 August 2010

20 AC10 InvalidDebtorAccountCurrency Debtor account currency is invalid or missing New August 2010 August 2010

21 AC11 InvalidCreditorAccountCurrency Creditor account currency is invalid or missing New August 2010 August 2010

22 AC12 InvalidAccountType New August 2010 August 2010

Code Name DefinitionCR0538 - APCA/SWIFT

Clearing process aborted due to a fatal error.    CR0538 - APCA/SWIFT

Settlement aborted due to timeout.    CR0538 - APCA/SWIFT

Settlement process aborted due to a fatal error.    CR0538 - APCA/SWIFT

Agent of message is not online.Generic usage if it cannot be determined who exactly is not online.

Account number is invalid or missing. Definition updated (CR0010)

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Account number specified has been closed on the bank of account's books.

Definition updated (CR0010)

CodeEval 1Q2010 (CR0010/CGI)

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Account type missing or invalid.Generic usage if cannot specify between group and payment information levels

CodeEval 1Q2010 (CR0010/CGI)

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 16-StatusReason - Page: 155 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition23 AC13 InvalidDebtorAccountType Debtor account type missing or invalid New August 2010 August 2010

24 AC14 InvalidCreditorAccountType Creditor account type missing or invalid New August 2010 August 2010

25 AG01 TransactionForbidden Transaction forbidden on this type of account (formerly NoAgreement) Maintenance SR2009 New April 2009 April 2009

26 AG02 InvalidBankOperationCode Bank Operation code specified in the message is not valid for receiver Maintenance SR2009 New April 2009 April 2009

27 AG03 TransactionNotSupported Transaction type not supported/authorized on this account New August 2010 August 2010

28 AG04 InvalidAgentCountry New August 2010 August 2010

29 AG05 InvalidDebtorAgentCountry Debtor agent country code is missing or invalid New August 2010 August 2010

30 AG06 InvalidCreditorAgentCountry Creditor agent country code is missing or invalid New August 2010 August 2010

31 AG07 UnsuccesfulDirectDebit New August 2010 August 2010

32 AG08 InvalidAccessRights Transaction failed due to invalid or missing user or access right New August 2010 August 2010

33 AG09 PaymentNotReceived Original payment never received. CR043/EPC New November 2016 18 November 201634 AG10 AgentSuspended CR043/EPC New November 2016 18 November 2016

35 AG11 CreditorAgentSuspended CR043/EPC New November 2016 18 November 2016

36 AGNT IncorrectAgent Agent in the payment workflow is incorrect Maintenance SR2009 New April 2009 April 2009

37 AM01 ZeroAmount Specified message amount is equal to zero Maintenance SR2009 New April 2009 April 2009

38 AM02 NotAllowedAmount Specific transaction/message amount is greater than allowed maximum Maintenance SR2009 New April 2009 April 2009

39 AM03 NotAllowedCurrency Maintenance SR2009 New April 2009 April 2009

40 AM04 InsufficientFunds Maintenance SR2009 New April 2009 April 2009

41 AM05 Duplication Duplication Maintenance SR2009 New April 2009 April 2009

42 AM06 TooLowAmount Specified transaction amount is less than agreed minimum. Maintenance SR2009 New April 2009 April 2009

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

CodeEval 1Q2010 (CR0010/CGI)

Agent country code is missing or invalid.Generic usage if cannot specify between group and payment information levels.

CodeEval 1Q2010 (CR0010/CGI)

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Debtor account cannot be debited for a generic reason.Code value may be used in general purposes and as a replacement for AM04 if debtor bank does not reveal its customer's insufficient funds for privacy reasons

CodeEval 1Q2010 (CR0010/CGI)

CodeEval 1Q2010 (CR0010/CGI)

Agent of message is suspended from the Real Time Payment system.Generic usage if it cannot be determined who exactly is suspended.Creditor Agent of message is suspended from the Real Time Payment system.

Specified message amount is an non processable currency outside of existing agreementAmount of funds available to cover specified message amount is insufficient.

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 16-StatusReason - Page: 156 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition43 AM07 BlockedAmount Maintenance SR2009 New April 2009 April 2009

44 AM09 WrongAmount Amount received is not the amount agreed or expected Maintenance SR2009 New April 2009 April 2009

45 AM10 InvalidControlSum Sum of instructed amounts does not equal the control sum. Maintenance SR2009 New April 2009 April 2009

46 AM11 InvalidTransactionCurrency Transaction currency is invalid or missing New August 2010 August 2010

47 AM12 InvalidAmount Amount is invalid or missing New August 2010 August 2010

48 AM13 AmountExceedsClearingSystemLimit Transaction amount exceeds limits set by clearing system New August 2010 August 2010

49 AM14 AmountExceedsAgreedLimit Transaction amount exceeds limits agreed between bank and client New August 2010 August 2010

50 AM15 AmountBelowClearingSystemMinimum Transaction amount below minimum set by clearing system New August 2010 August 2010

51 AM16 InvalidGroupControlSum Control Sum at the Group level is invalid New August 2010 August 2010

52 AM17 InvalidPaymentInfoControlSum Control Sum at the Payment Information level is invalid New August 2010 August 2010

53 AM18 InvalidNumberOfTransactions New August 2010 August 2010

54 AM19 InvalidGroupNumberOfTransactions Number of transactions at the Group level is invalid or missing New August 2010 August 2010

55 AM20 InvalidPaymentInfoNumberOfTransactions Number of transactions at the Payment Information level is invalid New August 2010 August 2010

56 AM21 LimitExceeded Transaction amount exceeds limits agreed between bank and client. New 14 Feb 2011 14 Feb 2011

57 AM22 ZeroAmountNotApplied New March 2016 1 April 2016

58 AM23 AmountExceedsSettlementLimit Transaction amount exceeds settlement limit. CR043/EPC New November 2016 18 November 201659 BE01 InconsistenWithEndCustomer Maintenance SR2009 New April 2009 April 2009

60 BE04 MissingCreditorAddress Maintenance SR2009 New April 2009 April 2009

61 BE05 UnrecognisedInitiatingParty Party who initiated the message is not recognised by the end customer Maintenance SR2009 New April 2009 April 2009

62 BE06 UnknownEndCustomer Maintenance SR2009 New April 2009 April 2009

Amount of funds available to cover specified message amount is insufficient.

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Number of transactions is invalid or missing.Generic usage if cannot specify between group and payment information levels.

CodeEval 1Q2010 (CR0010/CGI)

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2011 (CR0059/EBICS)

Unable to apply zero amount to designated account. For example, where the rules of a service allow the use of zero amount payments, however the back-office system is unable to apply the funds to the account. If the rules of a service prohibit the use of zero amount payments, then code AM01 is used to report the error condition.

CR0538 - APCA/SWIFT

Identification of end customer is not consistent with associated account number. (formerly CreditorConsistency).Specification of creditor's address, which is required for payment, is missing/not correct (formerly IncorrectCreditorAddress).

End customer specified is not known at associated Sort/National Bank Code or does no longer exist in the books

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 16-StatusReason - Page: 157 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition63 BE07 MissingDebtorAddress Maintenance SR2009 New April 2009 April 2009

64 BE08 MissingDebtorName Debtor name is missing New August 2010 August 2010

65 BE09 InvalidCountry New August 2010 August 2010

66 BE10 InvalidDebtorCountry Debtor country code is missing or invalid New August 2010 August 2010

67 BE11 InvalidCreditorCountry Creditor country code is missing or invalid New August 2010 August 2010

68 BE12 InvalidCountryOfResidence New August 2010 August 2010

69 BE13 InvalidDebtorCountryOfResidence Country code of debtor's residence is missing or Invalid New August 2010 August 2010

70 BE14 InvalidCreditorCountryOfResidence Country code of creditor's residence is missing or Invalid New August 2010 August 2010

71 BE15 InvalidIdentificationCode New August 2010 August 2010

72 BE16 InvalidDebtorIdentificationCode Debtor or Ultimate Debtor identification code missing or invalid New August 2010 August 2010

73 BE17 InvalidCreditorIdentificationCode Creditor or Ultimate Creditor identification code missing or invalid New August 2010 August 2010

74 BE18 InvalidContactDetails Contact details missing or invalid New August 2010 August 2010

75 BE19 InvalidChargeBearerCode Charge bearer code for transaction type is invalid New August 2010 August 2010

76 BE20 InvalidNameLength Name length exceeds local rules for payment type. New August 2010 August 2010

77 BE21 MissingName New August 2010 August 2010

78 BE22 MissingCreditorName Creditor name is missing New August 2010 August 2010

79 CH03 New 17 December 2012 17 December 2012

80 CH04 New 17 December 2012 17 December 2012

81 CH07 ElementIsNotToBeUsedAtB-andC-Level Element is not to be used at B- and C-Level New 17 December 2012 17 December 2012

82 CH09 MandateChangesNotAllowed Mandate changes are not allowed New 17 December 2012 17 December 2012

83 CH10 InformationOnMandateChangesMissing Information on mandate changes are missing New 17 December 2012 17 December 2012

Specification of debtor's address, which is required for payment, is missing/not correct.

CodeEval 1Q2010 (CR0010/CGI)

Country code is missing or Invalid.Generic usage if cannot specifically identify debtor or creditor

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Country code of residence is missing or Invalid.Generic usage if cannot specifically identify debtor or creditor

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Identification code missing or invalid.Generic usage if cannot specifically identify debtor or creditor.

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Name missing or invalid. Generic usage if cannot specifically identify debtor or creditor.

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

RequestedExecutionDateOrRequestedCollectionDateTooFarInFuture

Value in Requested Execution Date or Requested Collection Date is too far in the future

CodeEval 4Q2012 (CR242 v3/SIX)

RequestedExecutionDateOrRequestedCollectionDateTooFarInPast

Value in Requested Execution Date or Requested Collection Date is too far in the past

CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)

Date of printing: 05/08/2023-19:48:49 ISO 20022 External Code Sets- 16-StatusReason - Page: 158 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition84 CH11 CreditorIdentifierIncorrect Value in Creditor Identifier is incorrect New 17 December 2012 17 December 2012

85 CH12 Creditor Identifier is ambiguous at Transaction Level New 17 December 2012 17 December 2012

86 CH13 OriginalDebtorAccountIsNotToBeUsed Original Debtor Account is not to be used New 17 December 2012 17 December 2012

87 CH14 OriginalDebtorAgentIsNotToBeUsed Original Debtor Agent is not to be used CR0573/SIX 31 August 2016 17 December 2012

88 CH15 New 17 December 2012 17 December 2012

89 CH16 ElementContentFormallyIncorrect Content is incorrect New 17 December 2012 17 December 2012

90 CH17 ElementNotAdmitted Element is not allowed New 17 December 2012 17 December 2012

91 CH19 ValuesWillBeSetToNextTARGETday New 17 December 2012 17 December 2012

92 CH20 DecimalPointsNotCompatibleWithCurrency Number of decimal points not compatible with the currency New 17 December 2012 17 December 2012

93 CH21 RequiredCompulsoryElementMissing Mandatory element is missing New 17 December 2012 17 December 2012

94 CH22 COREandB2BwithinOnemessage SDD CORE and B2B not permitted within one message New 17 December 2012 17 December 2012

95 CNOR Creditor bank is not registered Creditor bank is not registered under this BIC in the CSM New 16 July 2012 16 July 2012

96 CURR IncorrectCurrency Currency of the payment is incorrect Maintenance SR2009 New April 2009 April 2009

97 CUST RequestedByCustomer Cancellation requested by the Debtor Maintenance SR2009 New April 2009 April 2009

98 DNOR Debtor bank is not registered Debtor bank is not registered under this BIC in the CSM New 16 July 2012 16 July 2012

99 DS01 ElectronicSignaturesCorrect The electronic signature(s) is/are correct New 14 Feb 2011 14 Feb 2011

100 DS02 OrderCancelled An authorized user has cancelled the order New 14 Feb 2011 14 Feb 2011

101 DS03 OrderNotCancelled The user’s attempt to cancel the order was not successful New 14 Feb 2011 14 Feb 2011

102 DS04 OrderRejected The order was rejected by the bank side (for reasons concerning content) New 14 Feb 2011 14 Feb 2011

103 DS05 OrderForwardedForPostprocessing The order was correct and could be forwarded for postprocessing New 14 Feb 2011 14 Feb 2011

104 DS06 TransferOrder The order was transferred to VEU New 14 Feb 2011 14 Feb 2011

CodeEval 4Q2012 (CR242 v3/SIX)

CreditorIdentifierNotUnambiguouslyAtTransaction-Level

CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)

Definition updated

ElementContentIncludesMoreThan140Charac ters

Content Remittance Information/Structured includes more than 140 characters

CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)

Values in Interbank Settlement Date or Requested Collection Date will be set to the next TARGET day

CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 4Q2012 (CR242 v3/SIX)CodeEval 2Q2012 (CR0243. EPC)

CodeEval 2Q2012 (CR0243. EPC)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 16-StatusReason - Page: 159 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition105 DS07 ProcessingOK All actions concerning the order could be done by the EBICS bank server New 14 Feb 2011 14 Feb 2011

106 DS08 DecompressionError The decompression of the file was not successful New 14 Feb 2011 14 Feb 2011

107 DS09 DecryptionError The decryption of the file was not successful New 14 Feb 2011 14 Feb 2011

108 DS0A DataSignRequested Data signature is required. New April 2009 April 2009

109 DS0B UnknownDataSignFormat Data signature for the format is not available or invalid. New April 2009 April 2009

110 DS0C SignerCertificateRevoked The signer certificate is revoked. New April 2009 April 2009

111 DS0D SignerCertificateNotValid The signer certificate is not valid (revoked or not active). New April 2009 April 2009

112 DS0E IncorrectSignerCertificate The signer certificate is not present. New April 2009 April 2009

113 DS0F SignerCertificationAuthoritySignerNotValid The authority of the signer certification sending the certificate is unknown. New April 2009 April 2009

114 DS0G NotAllowedPayment Signer is not allowed to sign this operation type. New April 2009 April 2009

115 DS0H NotAllowedAccount Signer is not allowed to sign for this account. New April 2009 April 2009

116 DS0K NotAllowedNumberOfTransaction The number of transaction is over the number allowed for this signer. New April 2009 April 2009

117 DS10 Signer1CertificateRevoked The certificate is revoked for the first signer. New April 2009 April 2009

118 DS11 Signer1CertificateNotValid The certificate is not valid (revoked or not active) for the first signer. New April 2009 April 2009

119 DS12 IncorrectSigner1Certificate The certificate is not present for the first signer. New April 2009 April 2009

CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 16-StatusReason - Page: 160 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition120 DS13 SignerCertificationAuthoritySigner1NotValid New April 2009 April 2009

121 DS14 UserDoesNotExist The user is unknown on the server New 14 Feb 2011 14 Feb 2011

122 DS15 IdenticalSignatureFound The same signature has already been sent to the bank New 14 Feb 2011 14 Feb 2011

123 DS16 PublicKeyVersionIncorrect New 14 Feb 2011 14 Feb 2011

124 DS17 DifferentOrderDataInSignatures Order data and signatures don’t match New 14 Feb 2011 14 Feb 2011

125 DS18 RepeatOrder New 14 Feb 2011 14 Feb 2011

126 DS19 ElectronicSignatureRightsInsufficient New 14 Feb 2011 14 Feb 2011

127 DS20 Signer2CertificateRevoked The certificate is revoked for the second signer. New April 2009 April 2009

128 DS21 Signer2CertificateNotValid The certificate is not valid (revoked or not active) for the second signer. New April 2009 April 2009

129 DS22 IncorrectSigner2Certificate The certificate is not present for the second signer. New April 2009 April 2009

130 DS23 SignerCertificationAuthoritySigner2NotValid New April 2009 April 2009

131 DS24 WaitingTimeExpired Waiting time expired due to incomplete order New 14 Feb 2011 14 Feb 2011

132 DS25 OrderFileDeleted New 14 Feb 2011 14 Feb 2011

133 DS26 UserSignedMultipleTimes The same user has signed multiple times New 14 Feb 2011 14 Feb 2011

134 DS27 UserNotYetActivated The user is not yet activated (technically) New 14 Feb 2011 14 Feb 2011

135 DT01 InvalidDate Invalid date (eg, wrong or missing settlement date) Maintenance SR2009 August 2010 April 2009

The authority of signer certification sending the certificate is unknown for the first signer.

France/Stella Petiot & Isabelle DeMendonca

CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)

The public key version is not correct. This code is returned when a customer sends signature files to the financial institution after conversion from an older program version (old ES format) to a new program version (new ES format) without having carried out re-initialisation with regard to a public key change.

CodeEval 1Q2011 (CR0059/EBICS)

CodeEval 1Q2011 (CR0059/EBICS)

File cannot be tested, the complete order has to be repeated. This code is returned in the event of a malfunction during the signature check, e.g. not enough storage space.

CodeEval 1Q2011 (CR0059/EBICS)

The user’s rights (concerning his signature) are insufficient to execute the order

CodeEval 1Q2011 (CR0059/EBICS)France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

France/Stella Petiot & Isabelle DeMendonca

The authority of signer certification sending the certificate is unknown for the second signer.

France/Stella Petiot & Isabelle DeMendonca

CodeEval 1Q2011 (CR0059/EBICS)

The order file was deleted by the bank server (for multiple reasons)

CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)

Definition updated (CR0010)

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 16-StatusReason - Page: 161 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition136 DT02 InvalidCreationDate Invalid creation date and time in Group Header (eg, historic date) New August 2010 August 2010

137 DT03 InvalidNonProcessingDate Invalid non bank processing date (eg, weekend or local public holiday) New August 2010 August 2010

138 DT04 FutureDateNotSupported Future date not supported New August 2010 August 2010

139 DT05 InvalidCutOffDate New August 2010 August 2010

140 DT06 ExecutionDateChanged Execution Date has been modified in order for transaction to be processed New August 2010 August 2010

141 DU01 DuplicateMessageID Message Identification is not unique. New August 2010 August 2010

142 DU02 DuplicatePaymentInformationID Payment Information Block is not unique. New August 2010 August 2010

143 DU03 DuplicateTransaction Transaction is not unique. New August 2010 August 2010

144 DU04 DuplicateEndToEndID End To End ID is not unique. New August 2010 August 2010

145 DU05 DuplicateInstructionID Instruction ID is not unique. New August 2010 August 2010

146 DUPL DuplicatePayment Payment is a duplicate of another payment Maintenance SR2009 New April 2009 April 2009

147 ED01 CorrespondentBankNotPossible Correspondent bank not possible. Maintenance SR2009 New April 2009 April 2009

148 ED03 BalanceInfoRequest Balance of payments complementary info is requested Maintenance SR2009 New April 2009 April 2009

149 ED05 SettlementFailed Settlement of the transaction has failed. Maintenance SR2009 New April 2009 April 2009

150 ED06 SettlementSystemNotAvailable Interbank settlement system not available. New March 2016 1 April 2016

151 FF01 Invalid File Format File Format incomplete or invalid Maintenance SR2009 New April 2009 April 2009

152 FF02 SyntaxError New August 2010 August 2010

153 FF03 InvalidPaymentTypeInformation New August 2010 August 2010

154 FF04 InvalidServiceLevelCode Service Level code is missing or invalid New August 2010 August 2010

155 FF05 InvalidLocalInstrumentCode Local Instrument code is missing or invalid New August 2010 August 2010

156 FF06 InvalidCategoryPurposeCode Category Purpose code is missing or invalid New August 2010 August 2010

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Associated message, payment information block or transaction was received after agreed processing cut-off date, i.e., date in the past.

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

CR0538 - APCA/SWIFT

Syntax error reason is provided as narrative information in the additional reason information.

CodeEval 1Q2010 (CR0010/CGI)

Payment Type Information is missing or invalid.Generic usage if cannot specify Service Level or Local Instrument code

CodeEval 1Q2010 (CR0010/CGI)

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 16-StatusReason - Page: 162 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition157 FF07 InvalidPurpose Purpose is missing or invalid New August 2010 August 2010

158 FF08 InvalidEndToEndId End to End Id missing or invalid New August 2010 August 2010

159 FF09 InvalidChequeNumber Cheque number missing or invalid New August 2010 August 2010

160 FF10 BankSystemProcessingError New August 2010 August 2010

161 FF11 ClearingRequestAborted Clearing request rejected due it being subject to an abort operation. 8 February 2017 1 April 2016

162 ID01 CorrespondingOriginalFileStillNotSent New 14 Feb 2011 14 Feb 2011

163 MD01 NoMandate No Mandate Maintenance SR2009 New April 2009 April 2009

164 MD02 MissingMandatoryInformationIn Mandate Mandate related information data required by the scheme is missing. Maintenance SR2009 New April 2009 April 2009

165 MD05 CollectionNotDue Creditor or creditor's agent should not have collected the direct debit Maintenance SR2009 New April 2009 April 2009

166 MD06 RefundRequestByEndCustomer Return of funds requested by end customer Maintenance SR2009 New April 2009 April 2009

167 MD07 EndCustomerDeceased End customer is deceased. Maintenance SR2009 New April 2009 April 2009

168 MS02 NotSpecifiedReasonCustomer Generated Reason has not been specified by end customer Maintenance SR2009 New April 2009 April 2009

169 MS03 NotSpecifiedReasonAgent Generated Reason has not been specified by agent. Maintenance SR2009 New April 2009 April 2009

170 NARR Narrative Maintenance SR2009 New April 2009 April 2009

171 RC01 BankIdentifierIncorrect Maintenance SR2009 New April 2009 April 2009

172 RC02 InvalidBankIdentifier New August 2010 August 2010

173 RC03 InvalidDebtorBankIdentifier Debtor bank identifier is invalid or missing New August 2010 August 2010

174 RC04 InvalidCreditorBankIdentifier Creditor bank identifier is invalid or missing New August 2010 August 2010

175 RC05 InvalidBICIdentifier New August 2010 August 2010

176 RC06 InvalidDebtorBICIdentifier Debtor BIC identifier is invalid or missing New August 2010 August 2010

177 RC07 InvalidCreditorBICIdentifier Creditor BIC identifier is invalid or missing New August 2010 August 2010

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

File or transaction cannot be processed due to technical issues at the bank side

CodeEval 1Q2010 (CR0010/CGI)CR0538 - APCA/SWIFT

Name & definition updated

Signature file was sent to the bank but the corresponding original file has not been sent yet.

CodeEval 1Q2011 (CR0059/EBICS)

Reason is provided as narrative information in the additional reason information.Bank identifier code specified in the message has an incorrect format (formerly IncorrectFormatForRoutingCode).Bank identifier is invalid or missing.Generic usage if cannot specify between debit or credit account

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

BIC identifier is invalid or missing.Generic usage if cannot specify between debit or credit account.

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 16-StatusReason - Page: 163 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition178 RC08 InvalidClearingSystemMemberIdentifier New August 2010 August 2010

179 RC09 InvalidDebtorClearingSystemMemberIdentifier Debtor ClearingSystemMember identifier is invalid or missing New August 2010 August 2010

180 RC10 InvalidCreditorClearingSystemMemberIdentifier Creditor ClearingSystemMember identifier is invalid or missing New August 2010 August 2010

181 RC11 InvalidIntermediaryAgent Intermediary Agent is invalid or missing New August 2010 August 2010

182 RC12 MissingCreditorSchemeId New August 2010 August 2010

183 RCON R-MessageConflict Conflict with R-Message New 28 November 2014 28 November 2014

184 RF01 NotUniqueTransactionReference Transaction reference is not unique within the message. Maintenance SR2009 New April 2009 April 2009

185 RR01 Missing Debtor Account or Identification Maintenance SR2009 New April 2009 April 2009

186 RR02 Missing Debtor Name or Address Maintenance SR2009 New April 2009 April 2009

187 RR03 Missing Creditor Name or Address Maintenance SR2009 New April 2009 April 2009

188 RR04 RegulatoryReason Regulatory Reason Maintenance SR2009 New April 2009 April 2009

189 RR05 RegulatoryInformationInvalid New August 2010 August 2010

190 RR06 TaxInformationInvalid Tax information missing, incomplete or invalid. New August 2010 August 2010

191 RR07 RemittanceInformationInvalid New August 2010 August 2010

192 RR08 RemittanceInformationTruncated Remittance information truncated to comply with rules for payment type. New August 2010 August 2010

193 RR09 InvalidStructuredCreditorReference Structured creditor reference invalid or missing. New August 2010 August 2010

194 RR10 InvalidCharacterSet Character set supplied not valid for the country and payment type. New August 2010 August 2010

195 RR11 InvalidDebtorAgentServiceID Invalid or missing identification of a bank proprietary service. New August 2010 August 2010

196 RR12 InvalidPartyID New August 2010 August 2010

197 SL01 Specific Service offered by Debtor Agent Due to specific service offered by the Debtor Agent Maintenance SR2009 New April 2009 April 2009

198 SL02 Specific Service offered by Creditor Agent Due to specific service offered by the Creditor Agent Maintenance SR2009 New April 2009 April 2009

ClearingSystemMemberidentifier is invalid or missing.Generic usage if cannot specify between debit or credit account

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Creditor Scheme Id is invalid or missing CodeEval 1Q2010 (CR0010/CGI)CodeEval 3Q2014 CR0456 - Austria

Specification of the debtor’s account or unique identification needed for reasons of regulatory requirements is insufficient or missingSpecification of the debtor’s name and/or address needed for regulatory requirements is insufficient or missing.Specification of the creditor’s name and/or address needed for regulatory requirements is insufficient or missing.

Regulatory or Central Bank Reporting information missing, incomplete or invalid.

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Remittance information structure does not comply with rules for payment type.

CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)CodeEval 1Q2010 (CR0010/CGI)

Invalid or missing identification required within a particular country or payment type.

CodeEval 1Q2010 (CR0010/CGI)

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 16-StatusReason - Page: 164 of 241

Doc: document.xls 16-StatusReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalStatusReason1Code

Identification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition199 SL11 Creditor not on Whitelist of Debtor New March 2016 1 April 2016

200 SL12 Creditor on Blacklist of Debtor New March 2016 1 April 2016

201 SL13 New March 2016 1 April 2016

202 SL14 New March 2016 1 April 2016

203 TA01 TransmissonAborted New 14 Feb 2011 14 Feb 2011

204 TD01 NoDataAvailable There is no data available (for download) New 14 Feb 2011 14 Feb 2011

205 TD02 FileNonReadable The file cannot be read (e.g. unknown format) New 14 Feb 2011 14 Feb 2011

206 TD03 IncorrectFileStructure The file format is incomplete or invalid New 14 Feb 2011 14 Feb 2011

207 TM01 Maintenance SR2009 August 2010 April 2009

208 TS01 TransmissionSuccessful The (technical) transmission of the file was successful. New 14 Feb 2011 14 Feb 2011

209 TS04 TransferToSignByHand The order was transferred to pass by accompanying note signed by hand New 14 Feb 2011 14 Feb 2011

Whitelisting service offered by the Debtor Agent; Debtor has not included the Creditor on its “Whitelist” (yet). In the Whitelist the Debtor may list all allowed Creditors to debit Debtor bank account.

CR0541 - Dutch Payments Association

Blacklisting service offered by the Debtor Agent; Debtor included the Creditor on his “Blacklist”. In the Blacklist the Debtor may list all Creditors not allowed to debit Debtor bank account.

CR0541 - Dutch Payments Association

Maximum number of Direct Debit Transactions exceeded

Due to Maximum allowed Direct Debit Transactions per period service offered by the Debtor Agent.

CR0541 - Dutch Payments Association

Maximum Direct Debit Transaction Amount exceeded

Due to Maximum allowed Direct Debit Transaction amount service offered by the Debtor Agent.

CR0541 - Dutch Payments Association

The transmission of the file was not successful – it had to be aborted (for technical reasons)

CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)

InvalidCutOffTimeFormerly: CutOffTime

Associated message, payment information block, or transaction was received after agreed processing cut-off time.

Definition updated (CR0010)

CodeEval 1Q2011 (CR0059/EBICS)CodeEval 1Q2011 (CR0059/EBICS)

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 17-TechnicalInputChannel - Page: 165 of 241

Doc: document.xls 17-TechnicalInputChannel Source: ISO 20022.orgEdition: 9 June, 2009

ExternalTechnicalInputChannel1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 FAXI Fax Technical Input Channel is fax or facsimile Maintenance SR2009 New April 2009 April 20092 PAPR Paper Technical Input Channel is paper Maintenance SR2009 New April 2009 April 20093 TAPE Tape Technical Input Channel is tape Maintenance SR2009 New April 2009 April 20094 WEBI Internet Technical Input Channel is internet Maintenance SR2009 New April 2009 April 2009

Code Name Definition

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 18-VerificationReason - Page: 166 of 241

Doc: document.xls 18-VerificationReason Source: ISO 20022.orgEdition: 16 August, 2010

ExternalVerificationReason1CodeIdentification Status

Status Status Date Introduced Date1 Currently no codes have been defined.23456789

101112131415161718

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 19-DocumentPurpose - Page: 167 of 241

Doc: document.xls 19-DocumentPurpose Source: ISO 20022.orgEdition: 30 November, 2010

ExternalDocumentPurpose1Code

Identification Status

Code Origin/Requester Status Status Date Introduced Date1 CONF Confirmed New 30-Nov-10 30-Nov-10

2 FINV Factored invoice New 30-Nov-10 30-Nov-10

Name DefinitionThe document represents a document that has been confirmed, for example an invoice that has been confirmed by the buyer for payment.

FinancialInvoiceV01 Trade Services SEG

The document represents an invoice submitted under a factoring arrangment.

FinancialInvoiceV01 Trade Services SEG

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 20-DocumentType - Page: 168 of 241

Doc: document.xls 20-DocumentType Source: ISO 20022.orgEdition: 30 November, 2010

ExternalDocumentType1CodeIdentification Status

Code Origin/Requester Status Status Date Introduced Date1 CINV CommercialInvoice Document is an invoice. New 30-Nov-10 30-Nov-10

2 CNFA CreditNoteRelatedToFinancialAdjustment New 30-Nov-10 30-Nov-10

3 CONT Contract New 30-Nov-10 30-Nov-10

4 CREN CreditNote Document is a credit note. New 30-Nov-10 30-Nov-10

5 DEBN DebitNote Document is a debit note. New 30-Nov-10 30-Nov-10

6 DISP DispatchAdvice New 30-Nov-10 30-Nov-10

7 DNFA DebitNoteRelatedToFinancialAdjustment New 30-Nov-10 30-Nov-10

8 HIRI HireInvoice New 30-Nov-10 30-Nov-10

9 INVS InvoiceSigned Document is a signed invoice. New 30-Nov-10 30-Nov-10

10 MSIN MeteredServiceInvoice New 30-Nov-10 30-Nov-10

Name DefinitionFinancialInvoice - Trade SEG

Document is a credit note for the final amount settled for a commercial transaction.

FinancialInvoice - Trade SEG

Document is a contract evidencing an agreement between the seller and buyer for the supply of goods and/or services.

FinancialInvoice - Trade SEG

FinancialInvoice - Trade SEG

FinancialInvoice - Trade SEG

Document is an advice of despatch of the goods.

FinancialInvoice - Trade SEG

Document is a debit note for the final amount settled for a commercial transaction.

FinancialInvoice - Trade SEG

Document is an invoice for the hiring of human resources or renting goods or equipment.

FinancialInvoice - Trade SEG

FinancialInvoice - Trade SEG

Document is an invoice claiming payment for the supply of metered services, eg. Gas or electricity, supplied to a fixed meter.

FinancialInvoice - Trade SEG

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 20-DocumentType - Page: 169 of 241

Doc: document.xls 20-DocumentType Source: ISO 20022.orgEdition: 30 November, 2010

ExternalDocumentType1CodeIdentification Status

Code Origin/Requester Status Status Date Introduced DateName Definition11 PROF ProformaInvoice New 30-Nov-10 30-Nov-10

12 PUOR PurchaseOrder Document is a purchase order. New 30-Nov-10 30-Nov-10

13 QUOT Quotation New 30-Nov-10 30-Nov-10

14 SBIN SelfBilledInvoice New 30-Nov-10 30-Nov-10

15 SPRR SellerPresentment New 30-Nov-10 30-Nov-10

16 TISH TimeSheet New 30-Nov-10 30-Nov-10

17 USAR UsageReport New 30-Nov-10 30-Nov-10

In trade transactions, a pro forma invoice is a document that states a commitment from the seller to sell goods to the buyer at specified prices and terms. It is used to declare the value of the trade. It is not a true invoice, because it is not used to record accounts receivable for the seller and accounts payable for the buyer.

FinancialInvoice - Trade SEG

FinancialInvoice - Trade SEG

Document is a quotation setting out the conditions under which the goods and/or services are offered.

FinancialInvoice - Trade SEG

Document is a statement of the transactions posted to the debtor's account at the supplier.

FinancialInvoice - Trade SEG

Document is a document presented by the seller in support of the procurement of goods and/or services.

FinancialInvoice - Trade SEG

Document is a timesheet recording times for the provision of services and/or delivery of goods.

FinancialInvoice - Trade SEG

Document is a usage report indicating the consumption pattern for designated goods and/or services.

FinancialInvoice - Trade SEG

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 21-Incoterms - Page: 170 of 241

Doc: document.xls 21-Incoterms Source: ISO 20022.orgEdition: 21 February, 2014

ExternalIncoterms1CodeIdentification Status

Status Date1 CFR CostAndFreight Cost and Freight (sea and inland waterway transport) - Incoterms 2010 4-Feb-14

2 CIF CostInsuranceAndFreight 4-Feb-14

3 CIP CarriageAndInsurancePaid 4-Feb-14

4 CPT CarriagePaid 4-Feb-14

5 DAP DeliveredAtPlace 4-Feb-14

6 DAT DeliveredAtTerminal 4-Feb-14

7 DDP DeliveredDutyPaid 4-Feb-14

8 EXW ExWorks Ex Works (any mode of transport, including multimodal) - Incoterms 2010 4-Feb-14

9 FAS FreeAlongsideShip Free Alongside Ship (sea and inland waterway transport) - Incoterms 2010 4-Feb-14

10 FCA FreeCarrier Free Carrier (any mode of transport, including multimodal) - Incoterms 2010 4-Feb-14

11 FOB FreeOnBoard Free On Board (sea and inland waterway transport) - Incoterms 2010 4-Feb-14

Code Name Definition Origin/Requester Status

Financial Invoice - Trade SEG

Updated Definition

Cost, Insurance and Freight (sea and inland waterway transport) - Incoterms 2010

Financial Invoice - Trade SEG

Updated Definition

Carriage and Insurance Paid To (any mode of transport, including multimodal) - Incoterms 2010

Financial Invoice - Trade SEG

Updated Definition

Carriage Paid To (any mode of transport, including multimodal) - Incoterms 2010

Financial Invoice - Trade SEG

Updated Definition

Delivered at Place (any mode of transport, including multimodal) - Incoterms 2010

Financial Invoice - Trade SEG

Updated Definition

Delivered at Terminal (any mode of transport, including multimodal) - Incoterms 2010

Financial Invoice - Trade SEG

Updated Definition

Delivered Duty Paid (any mode of transport, including multimodal) - Incoterms 2010

Financial Invoice - Trade SEG

Updated Definition

Financial Invoice - Trade SEG

Updated Definition

Financial Invoice - Trade SEG

Updated Definition

Financial Invoice - Trade SEG

Updated Definition

Financial Invoice - Trade SEG

Updated Definition

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 21-Incoterms - Page: 171 of 241

Doc: document.xls 21-Incoterms Source: ISO 20022.orgEdition: 21 February, 2014

Status

Introduced Date30-Nov-10

30-Nov-10

30-Nov-10

30-Nov-10

30-Nov-10

30-Nov-10

30-Nov-10

30-Nov-10

30-Nov-10

30-Nov-10

30-Nov-10

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 22-InformationType - Page: 172 of 241

Doc: document.xls 22-InformationType Source: ISO 20022.orgEdition: 30 November, 2010

ExternalInformationType1CodeIdentification Status

Origin/Requester Status1 INST ProcessingInstructions Instructions used to ease automatic request processing. New 30-Nov-10 30-Nov-10

2 OTHR OtherInformation Additional information not otherwise specified. New 30-Nov-10 30-Nov-10

3 RELY RelayInstructions Instructions used to ease automatic request relay. New 30-Nov-10 30-Nov-10

4 SHPG ShippingInformation Additional shipping information not otherwise specified. New 30-Nov-10 30-Nov-10

5 SHPM ShippingMarks New 30-Nov-10 30-Nov-10

6 SLDC SellerDomicileLocation Information concerning the domicile location of the seller. New 30-Nov-10 30-Nov-10

Code Name DefinitionStatusDate

Introduced Date

Financial Invoice - Trade SEG

Financial Invoice - Trade SEG

Financial Invoice - Trade SEG

Financial Invoice - Trade SEG

Information concerning the letters, numbers or other symbols placed on the outside of cargo to facilitate identification.

Financial Invoice - Trade SEG

Financial Invoice - Trade SEG

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 23-PackagingTypeCode - Page: 173 of 241

Doc: document.xls 23-PackagingTypeCode Source: ISO 20022.orgEdition: 30 November, 2010

ExternalPackagingType1CodeIdentification Status

Status Status Date Introduced Date1 HDPE HighDensityPolyethylene New 30-Nov-10 30-Nov-10

2 LDPE LowDensityPolyethylene New 30-Nov-10 30-Nov-10

3 LLDP LinearLowDensityPolyethylene New 30-Nov-10 30-Nov-10

4 OTHR OtherPackagingType New 30-Nov-10 30-Nov-10

Code Name Definition Origin/RequesterPackaging is high density polyethylene.

Financial Invoice - Trade SEG

Packaging is low density polyethylene.

Financial Invoice - Trade SEG

Packaging is linear low density polyethylene.

Financial Invoice - Trade SEG

Other packaging type not otherwise specified.

Financial Invoice - Trade SEG

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 24-FinancialInstrumentIdType - Page: 174 of 241

Doc: document.xls 24-FinancialInstrumentIdType Source: ISO 20022.orgEdition:27 November 2015

ExternalFinancialInstrumentIdentificationType1Code

Identification Information/Details Status

ISO 15022 Origin/Requester Status Status Date Introduced Date1 BELC /BE/ New 30-Nov-10 30-Nov-10

2 BLOM Bloomberg /BLOM/ New 30-Nov-10 30-Nov-10

3 CCCD /cc/ New 30-Nov-10 30-Nov-10

4 CMED Chicago Mercantile Exchange (CME) /CMED/ New 30-Nov-10 30-Nov-10

5 COMM Common Code /XS/ New 30-Nov-10 30-Nov-10

6 CTAC Consolidated Tape Association (CTA) /CTAC/ New 30-Nov-10 30-Nov-10

7 CUSP /US/ New 30-Nov-10 30-Nov-10

8 FIGC /FIGC/ Bloomberg/ISITC/CR0527 New 30-Nov-15 30-Nov-15

9 FIGG /FIGG/ Bloomberg/ISITC/CR0527 New 30-Nov-15 30-Nov-15

10 FIGI Financial Instrument Global Identifier /FIGI/ Bloomberg/ISITC/CR0527 New 30-Nov-15 30-Nov-15

11 ISDU URL in Description to identify OTC derivatives instruments. /ISDU/ New 30-Nov-10 30-Nov-10

Code Name DefinitionCode SRW (Secretariaat voor Roerende Waarden) or SVM (Secrétariat des Valeurs mobilières)

National securities identification number for BE issued by the National Numbering Association SIX Telekurs Belgium.

ISITC/JASDEC/SWIFT CR0036

Ticker-like code assigned by Bloomberg to identify financial instruments.

ISITC/JASDEC/SWIFT CR0036

Other National Securities Identification Number

National Securities Identification Number issued by the National Numbering Association for a country for which no specific financial instrument identification type code already yet. The first two letters of the code represents the country code (for example, EGDC for Egyptian NSIN). To be used only until the code is added to the ISO ExternalFinancialInstrumentIdentificationType1Code list.

ISITC/JASDEC/SWIFT CR0036

Ticker-like code assigned by the Chicago Mercantile Exchange to identify listed-derivatives instruments.

ISITC/JASDEC/SWIFT CR0036

National securities identification number for ICSDs issued by the National Numbering Association Clearstream and Euroclear.

ISITC/JASDEC/SWIFT CR0036

Ticker-like code assigned by the Consolidated Tape Association to identify financial instruments.

ISITC/JASDEC/SWIFT CR0036

Committee on Uniform Security Identification Procedures (CUSIP)

National securities identification number for US and CA issued by the National Numbering Association Standard & Poor´s - CUSIP Global Services.

ISITC/JASDEC/SWIFT CR0036

Financial Instrument Global Identifier Composite

A Financial Instrument Global Identifier Composite (FIGC) is a unique, persistent twelve character string that serves to identify financial instruments across asset classes at the composite level, is associated with one or more FIGI venue level ID’s and a single Share Class level ID.

Financial Instrument Global Identifier Share Class

A Financial Instrument Global Identifier Share Class (FIGG) is a unique, persistent twelve character string that serves to identify financial instruments across asset classes at the global share class level, and is associated with one or more Composite level ID’s.

A Financial Instrument Global Identifier (FIGI) is a unique, persistent twelve character string that serves to identify financial instruments across asset classes at the venue level. It is associated with one Composite ID.

ISDA/FpML Product URL (URL in SecurityID)

ISITC/JASDEC/SWIFT CR0036

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 24-FinancialInstrumentIdType - Page: 175 of 241

Doc: document.xls 24-FinancialInstrumentIdType Source: ISO 20022.orgEdition:27 November 2015

ExternalFinancialInstrumentIdentificationType1Code

Identification Information/Details Status

ISO 15022 Origin/Requester Status Status Date Introduced DateCode Name Definition12 ISDX XML in Description to identify OTC derivatives instruments. /ISDX/ New 30-Nov-10 30-Nov-10

13 LCHD LCH-Clearnet /LCHD/ New 30-Nov-10 30-Nov-10

14 OCCS Options Clearing Corp (OCC) /OCCS/ New 30-Nov-10 30-Nov-10

15 OPRA /OPRA/ New 30-Nov-10 30-Nov-10

16 RCMD Markit Red Code /RCMD/ New 30-Nov-10 30-Nov-10

17 RICC Reuters Instrument Code (RIC) /RICC/ New 30-Nov-10 30-Nov-10

18 SEDL /GB/ New 30-Nov-10 30-Nov-10

19 SICC /JP/ New 30-Nov-10 30-Nov-10

20 TIKR Ticker Symbol (TS) /TS/ New 30-Nov-10 30-Nov-10

21 VALO VALOR /CH/ New 30-Nov-10 30-Nov-10

22 WKNR Wertpapierkennummer (WKN) /DE/ New 30-Nov-10 30-Nov-10

ISDA/FpML Product Specification (XML in EncodedSecurityDesc)

ISITC/JASDEC/SWIFT CR0036

Ticker-like code assigned by LCH to identify listed-derivatives instruments.

ISITC/JASDEC/SWIFT CR0036

Ticker-like code assigned by the Options Clearing Corporation to identify financial instruments.

ISITC/JASDEC/SWIFT CR0036

Options Price Reporting Authority (OPRA)

Ticker-like code assigned by the Options Price Reporting Authority to identify financial instruments.

ISITC/JASDEC/SWIFT CR0036

Ticker-like code assigned by Markit to identify listed-derivatives instruments.

ISITC/JASDEC/SWIFT CR0036

Ticker-like code assigned by Thomson Reuters to identify financial instruments.

ISITC/JASDEC/SWIFT CR0036

Stock Exchange Daily Official List (SEDOL)

National securities identification number for GB issued by the National Numbering Association London Stock Exchange.

ISITC/JASDEC/SWIFT CR0036

Securities Identification Code Committee

National securities identification number for JP issued by the National Numbering Association 6 Stock Exchanges and JASDEC (Securities Identification Ticker-like code Committee)

ISITC/JASDEC/SWIFT CR0036

Ticker Code assigned by an exchange to identify financial instruments.

ISITC/JASDEC/SWIFT CR0036

National securities identification number for CH and LI issued by the National Numbering Association SIX Telekurs Ltd.

ISITC/JASDEC/SWIFT CR0036

National securities identification number for DE issued by the National Numbering Association WM Datenservice.

ISITC/JASDEC/SWIFT CR0036

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 25-TradeTransactionCondition - Page: 176 of 241

Doc: document.xls 25-TradeTransactionCondition Source: ISO 20022.orgEdition: 31 August, 2011

ExternalTradeTransactionCondition1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 BCBL BoardLot Board lots, not set for odd lots (UK specific). New 31-Aug-11 31-Aug-11

2 BCBN BadName Bad names, not set for good names (UK specific). New 31-Aug-11 31-Aug-11

3 BCFD DeliveryForm New 31-Aug-11 31-Aug-11

4 BCPD DeliverCountryIncorporation New 31-Aug-11 31-Aug-11

5 BCRO ResultOption Result of option when set (UK specific). New 31-Aug-11 31-Aug-11

6 BCRP ResultRepo Result of repo when set (UK specific). New 31-Aug-11 31-Aug-11

7 BLKO Block New 31-Aug-11 31-Aug-11

8 BTEX BestExecution Trade to be executed done at best execution. New 31-Aug-11 31-Aug-11

9 BTMI BoughtMinus Bought minus indicator. New 31-Aug-11 31-Aug-11

10 CALL Call New 31-Aug-11 31-Aug-11

11 CBNS CumBonus The trade is executed cum bonus. New 31-Aug-11 31-Aug-11

12 CCPN CumCoupon The trade is executed cum coupon. New 31-Aug-11 31-Aug-11

13 CDIV CumDividend The trade is executed cum dividend. New 31-Aug-11 31-Aug-11

14 CLBR ClosureBeforeRollOver New 31-Aug-11 31-Aug-11

15 CLEN Clean New 31-Aug-11 31-Aug-11

Code Name DefinitionPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

Form of delivery, not for foreign registration when unset (UK specific).

Post-trade matching Omgeo/SWIFT

Place of delivery, in country of incorporation when unset (UK specific).

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

The trade is a block trade or not, ie, whether allocation instruction will follow or not.

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

Trade to be executed following the exercise of a call option on the security.

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

Trade to be executed for closure of a previous position before the rollover of a position (Deferred Settlement Service).

Post-trade matching Omgeo/SWIFT

The trade is executed clean, ie government tax must not be paid on the accrued interest on the bond.

Post-trade matching Omgeo/SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 25-TradeTransactionCondition - Page: 177 of 241

Doc: document.xls 25-TradeTransactionCondition Source: ISO 20022.orgEdition: 31 August, 2011

ExternalTradeTransactionCondition1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition16 CRST CrossTrade New 31-Aug-11 31-Aug-11

17 CRTS CumRights The trade is executed cum rights. New 31-Aug-11 31-Aug-11

18 CWAR CumWarrant The trade is executed cum warrant. New 31-Aug-11 31-Aug-11

19 DIOR DirectedOrder New 31-Aug-11 31-Aug-11

20 DIRT Dirty New 31-Aug-11 31-Aug-11

21 DORD DirectOrder New 31-Aug-11 31-Aug-11

22 FORW ForwardPriceTrade The order is based on a forward price. New 31-Aug-11 31-Aug-11

23 FRAC Fractions Fractional parts are allowed. New 31-Aug-11 31-Aug-11

24 GTDL GuaranteedDelivery New 31-Aug-11 31-Aug-11

25 HIST HistoricPriceTrade The order is based on a historic price. New 31-Aug-11 31-Aug-11

26 MAPR MarketPrice Trade was executed at market price. New 31-Aug-11 31-Aug-11

27 MONT Monthly New 31-Aug-11 31-Aug-11

28 NBFR NewTradeFollowingRollover New 31-Aug-11 31-Aug-11

Cross trades are allowed whereby buy and sell orders are offset without recording the trade on the exchange

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

A customer order where the customer gives specific instructions to the broker concerning the orders routing destination.

Post-trade matching Omgeo/SWIFT

The trade is executed dirty, ie government tax must be paid on the accrued interest on the bond.

Post-trade matching Omgeo/SWIFT

The order is to be executed by a trading party other than the trading party to which the order is sent. In this case, the instructing party has traded with another broker which will subsequently send an advice of execution to the executing party who received the order and which is acting as clearing broker.

Post-trade matching Omgeo/SWIFT

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

The delivery of the financial instrument on settlement date is guaranteed.

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

Trade to be executed for month-end settlement (Deferred Settlement Service).

Post-trade matching Omgeo/SWIFT

Trade to be executed for a new trade position on the next month following the roll-over of a position (Deferred Settlement Service).

Post-trade matching Omgeo/SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 25-TradeTransactionCondition - Page: 178 of 241

Doc: document.xls 25-TradeTransactionCondition Source: ISO 20022.orgEdition: 31 August, 2011

ExternalTradeTransactionCondition1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition29 NCRS NoCrossTrade New 31-Aug-11 31-Aug-11

30 NEGO NegotiatedTrade New 31-Aug-11 31-Aug-11

31 NMPR NonMarketPrice New 31-Aug-11 31-Aug-11

32 PETA PreTradeAnonimity New 31-Aug-11 31-Aug-11

33 PUTT Putt New 31-Aug-11 31-Aug-11

34 SETI SoldExempt Trade is exempt from short-sale rules. New 31-Aug-11 31-Aug-11

35 SPCU SpecialCumDividend New 31-Aug-11 31-Aug-11

36 SPEX SpecialExDividend New 31-Aug-11 31-Aug-11

37 SPSI SoldPlus Sold plus indication. New 31-Aug-11 31-Aug-11

38 SSTI SoldShort New 31-Aug-11 31-Aug-11

39 TEFR TradeExecutedFollowingRollover New 31-Aug-11 31-Aug-11

40 TRFR TradeFollowingRollover New 31-Aug-11 31-Aug-11

41 WIBC BeforeAuction New 31-Aug-11 31-Aug-11

Cross trades, whereby buy and sell orders are offset without recording the trade on the exchange, are not allowed.

Post-trade matching Omgeo/SWIFT

Trade for which the price is not the one quoted but an improved one, that is, the negotiated price.

Post-trade matching Omgeo/SWIFT

Trade was executed outside of normal market conditions, for example, in the case of an iceberg order.

Post-trade matching Omgeo/SWIFT

Allows trader to explicitly request anonymity or disclosure in pre-trade market data feeds. Anonymity is relevant in markets where counterparties are regularly disclosed in order depth feeds. Disclosure is relevant when counterparties are not normally visible.

Post-trade matching Omgeo/SWIFT

Trade to be executed following the exercise of a put option on the security.

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

The trade is executed with a special cum dividend, ie, buying after the ex date and getting the dividend.

Post-trade matching Omgeo/SWIFT

The trade is executed with a special ex dividend, ie, selling before the ex date without the coupon.

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

The trade is sold short. When the seller does not have the financial instrument, the delivery is effected by borrowing the financial instrument by or for the account of the seller.

Post-trade matching Omgeo/SWIFT

Trade executed this month following the rollover of positions.

Post-trade matching Omgeo/SWIFT

Trade to be executed on the next month following the roll-over of positions.

Post-trade matching Omgeo/SWIFT

Transaction is before the issue date after announcement of the auction.

Post-trade matching Omgeo/SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 25-TradeTransactionCondition - Page: 179 of 241

Doc: document.xls 25-TradeTransactionCondition Source: ISO 20022.orgEdition: 31 August, 2011

ExternalTradeTransactionCondition1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition42 WICD AfterAuction New 31-Aug-11 31-Aug-11

43 XBNS ExBonus The trade is executed ex bonus. New 31-Aug-11 31-Aug-11

44 XCPN ExCoupon The trade is executed ex coupon. New 31-Aug-11 31-Aug-11

45 XDIV ExDividend The trade is executed ex dividend. New 31-Aug-11 31-Aug-11

46 XRTS ExRights The trade is executed ex rights. New 31-Aug-11 31-Aug-11

47 XWAR ExWarrant The trade is executed ex warrant. New 31-Aug-11 31-Aug-11

Transaction is after the issue date after announcement of the auction.

Post-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFTPost-trade matching Omgeo/SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 26-ChargeType - Page: 180 of 241

Doc: document.xls 26-ChargeType Source: ISO 20022.orgEdition: 31 May, 2012

ExternalChargeType1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 BRKF BrokerageFee Fee paid to a broker for services provided. New 31-May-12 31-May-12

4 BTCH Batch Fee paid for processing a batch of transactions. New 31-May-12 31-May-12

2 COMM Commission Fee paid for services provided. New 31-May-12 31-May-12

3 SUMM Summation Summation of individual fees. New 31-May-12 31-May-12

Code Name DefinitionMaintenance SR2012Maintenance SR2012Maintenance SR2012Maintenance SR2012

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 27-CashAccountType - Page: 181 of 241

Doc: document.xls 27-CashAccountType Source: ISO 20022.orgEdition: 8 February 2017

ExternalCashAccountType1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 CACC Current New 31-May-12 31-May-12

2 CASH CashPayment Account used for the payment of cash. New 31-May-12 31-May-12

3 CHAR Charges New 31-May-12 31-May-12

4 CISH CashIncome New 31-May-12 31-May-12

5 COMM Commission New 31-May-12 31-May-12

6 CPAC ClearingParticipantSettlementAccount CR0651/HKICL New Feb 2017 8-Feb-17

7 LLSV LimitedLiquiditySavingsAccount New 31-May-12 31-May-12

8 LOAN Loan Account used for loans. New 31-May-12 31-May-12

9 MGLD Marginal Lending Account used for a marginal lending facility. New 31-May-12 31-May-12

10 MOMA Money Market New 31-May-12 31-May-12

11 NREX NonResidentExternal Account used for non-resident external. New 31-May-12 31-May-12

12 ODFT Overdraft Account is used for overdrafts. New 31-May-12 31-May-12

13 ONDP OverNightDeposit Account used for overnight deposits. New 31-May-12 31-May-12

14 OTHR OtherAccount Account not otherwise specified. New 31-May-12 31-May-12

Code Name DefinitionAccount used to post debits and credits when no specific account has been nominated.

Maintenance SR2012Maintenance SR2012

Account used for charges if different from the account forpayment.

Maintenance SR2012

Account used for payment of income if different from the current cash account

Maintenance SR2012

Account used for commission if different from the accountfor payment.

Maintenance SR2012

Account used to post settlement debit and credit entries on behalf of a designated Clearing Participant.Account used for savings with special interest and withdrawal terms.

Maintenance SR2012Maintenance SR2012Maintenance SR2012

Account used for money markets if different from the cashaccount.

Maintenance SR2012

Maintenance SR2012Maintenance SR2012Maintenance SR2012Maintenance SR2012

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 27-CashAccountType - Page: 182 of 241

Doc: document.xls 27-CashAccountType Source: ISO 20022.orgEdition: 8 February 2017

ExternalCashAccountType1CodeIdentification Status

Origin/Requester Status Status Date Introduced DateCode Name Definition15 SACC Settlement New 31-May-12 31-May-12

16 SLRY Salary Accounts used for salary payments. New 31-May-12 31-May-12

17 SVGS Savings Account used for savings. New 31-May-12 31-May-12

18 TAXE Tax New 31-May-12 31-May-12

19 TRAN TransactingAccount New 3-Oct-16 18-Nov-16

20 TRAS Cash Trading New 31-May-12 31-May-12

Account used to post debit and credit entries, as a result of transactions cleared and settled through a specific clearing and settlement system.

Maintenance SR2012

Maintenance SR2012Maintenance SR2012

Account used for taxes if different from the account forpayment.

Maintenance SR2012

A transacting account is the most basic type of bank account that you can get. The main difference between transaction and cheque accounts is that you usually do not get a cheque book with your transacting account and neither are you offered an overdraft facility.

CR0637/SWIFT/SABS

Account used for trading if different from the current cashaccount.

Maintenance SR2012

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 28-DiscountAmountType - Page: 183 of 241

Doc: document.xls 28-DiscountAmountType Source: ISO 20022.orgEdition: 16 July, 2012

ExternalDiscountAmountType1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 APDS AdditionalPromotionalDiscount New 16 July 2012 16 July 2012

2 STDS StandingDiscount Discount based on volume purchased. New 16 July 2012 16 July 2012

3 TMDS TermsDiscount New 16 July 2012 16 July 2012

Code Name DefinitionAddition discount based on third-party agreed business promotional activity, i.e., extra 10 percent discount for 15 days)

Maintenance 2011/2012Maintenance 2011/2012

Discount based on terms negotiated for payment within a specified time period, i.e., 2/10 Net 30 (2 percent discount if paid in 10 days; otherwise, net amount is due in 30 days).

Maintenance 2011/2012

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 29-TaxAmountType - Page: 184 of 241

Doc: document.xls 29-TaxAmountType Source: ISO 20022.orgEdition: 16 July, 2012

ExternalTaxAmountType1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 CITY CityTax Tax accessed by city jurisdications within a country. New 16 July 2012 16 July 2012

2 CNTY CountyTax Tax accessed by county jurisdications within a country. New 16 July 2012 16 July 2012

3 LOCL LocalTax Tax accessed by local jurisdications within a country. New 16 July 2012 16 July 2012

4 PROV ProvinceTax Tax accessed by province jurisdications within a country. New 16 July 2012 16 July 2012

5 STAT StateTax Tax accessed by state jurisdications within a country. New 16 July 2012 16 July 2012

Code Name DefinitionMaintenance 2011/2012Maintenance 2011/2012Maintenance 2011/2012Maintenance 2011/2012Maintenance 2011/2012

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 30-CardTransactionCategory - Page: 185 of 241

Doc: document.xls 30-CardTransactionCategory Source: ISO 20022.orgEdition: 22 October, 2012

ExternalCardTransactionCategory1Code

Identification Status

Status Status Date Introduced Date1 Currently no codes have been defined.23456789101112131415161718

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 31-BillingBalanceType - Page: 186 of 241

Doc: document.xls 31-BillingBalanceType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingBalanceType1Code

Identification Status

Status Status Date Introduced Date1 ABRR New 13 July 2012 13 July 2012

2 BEQU BalEquivalent New 13 July 2012 13 July 2012

3 CBAM New 13 July 2012 13 July 2012

4 CBAN CollectedBal-AvgNet New 13 July 2012 13 July 2012

Code Name Definition Origin/RequesterAdditionalBal-ReserveRequirement

The difference between the excess/(deficit) investable balance and the excess/(deficit) collected balance due to the reserve requirement. This balance is not used if the account’s Earnings Credit Rate is net of reserves. This may be used when the earnings allowance rate is not adjusted for reserves. It may be that reserves have been subtracted from the collected balance to determine the investable balance. Therefore, they must be added back to the excess/(deficit) investable balance to determine the collected balance position. The presentation of this calculation is optional. AFP code=00 04 21

BJ 56TWIST & SWIFT

Balance required to offset the current analysis period’s balance compensable service charges. The balance equivalent can be calculated in two different ways. The first simply multiplies the balance compensable service charge total by the multiplier. The second calculation incorporates all of the elements of the multiplier calculation. Note that this calculation may result in a slightly different value due to the decimal precision and rounding used in the calculation: AFP code=00 04 00

BJ 56TWIST & SWIFT

CollectedBal-AvgNegative

The sum of only the daily ending NEGATIVE collected balances divided by the number of days in the statement period. The average negative balance, if present, is always positively signed. Balances are net of current period adjustments. Note that a NEGATIVE balance is equal to the POSITIVE balance less the NET balance. Note that a NEGATIVE Collected Balance Interest Rate can be applied to this balance to develop an OD interest charge. AFP code=00 00 13

BJ 56TWIST & SWIFT

The sum of the daily ending collected balances (both positive and negative) divided by the number of days in the statement period. A negative-signed value indicates a negative average NET balance. If a reserve-adjusted earnings allowance/credit rate is used, this balance may be the same as the investable balance (00 00 40). Balances are net of current period adjustments. Collected balances represent deposit money that has been collected and excludes any money in float. Note that a NET balance is equal to the POSITIVE balance less the NEGATIVE balance. Note that a NET Collected Balance OD Interest Rate (00 01 43) can be applied to this balance, if negative, to develop an OD interest charge. AFP code=00 00 10

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 31-BillingBalanceType - Page: 187 of 241

Doc: document.xls 31-BillingBalanceType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingBalanceType1Code

Identification Status

Status Status Date Introduced DateCode Name Definition Origin/Requester5 CBAP New 13 July 2012 13 July 2012

6 DABR New 13 July 2012 13 July 2012

7 EDCB New 13 July 2012 13 July 2012

8 EDIB New 13 July 2012 13 July 2012

9 FDIC FDICAssesmentBal New 13 July 2012 13 July 2012

10 FLBA FloatBal-Avg New 13 July 2012 13 July 2012

11 FLPP New 13 July 2012 13 July 2012

CollectedBal-AvgPositive

The sum of only the daily ending POSITIVE collected balances divided by the number of days in the statement period. Balances are net of current period adjustments. Collected balances represent deposit money that has been collected and excludes any money in float. Note that a POSITIVE balance is equal to the NET balance plus the NEGATIVE balance. AFP code=00 00 11

BJ 56TWIST & SWIFT

DemandDepositAccount Balance-ReserveRequirement

That portion of the demand deposit account balance that must be set aside by the bank to meet reserve requirements. AFP code=00 04 20

BJ 56TWIST & SWIFT

ExcessDeficitCollectedBal

Collected balance remaining after the balance required to offset the current analysis period’s balance compensable service charges has been deducted. If negative (deficit), this represents the additional collected balance required to fully offset balance compensable service charges for the current period. If positive (excess), this represents the collected balance surplus after offsetting balance compensable service charges for the current period. AFP code=00 04 12

BJ 56TWIST & SWIFT

ExcessDeficitInvestableBal

Investable balance remaining after the balance required to offset the current analysis period’s balance compensable service charges has been deducted. If negative (deficit), this represents the additional investable balance required to fully offset balance compensable service charges for the current period. If positive (excess), this represents the investable balance surplus after offsetting balance compensable service charges for the current period. Depending on the type of underlying account, a hard interest rate may be applied to a balance excess resulting in a hard interest credit to the underlying account. AFP code=00 04 10

BJ 56TWIST & SWIFT

That account balance used to calculate the FDIC assessment charge. AFP code=00 00 50

BJ 56TWIST & SWIFT

The sum of the daily dollar amount of items in the process of collection divided by the number of days in the statement period. AFP code=00 00 30

BJ 56TWIST & SWIFT

BalAdj-PriorPeriod-AvgFloat

Sum of the adjustments to the average float in a prior period(s). A negative-signed value indicates a balance reduction. This balance can also be used to adjust the average collected balances since money in float has a direct effect on collected balances. AFP code=00 00 61

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 31-BillingBalanceType - Page: 188 of 241

Doc: document.xls 31-BillingBalanceType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingBalanceType1Code

Identification Status

Status Status Date Introduced DateCode Name Definition Origin/Requester12 IBAL InvestableBal New 13 July 2012 13 July 2012

13 IBIB New 13 July 2012 13 July 2012

14 IBLB New 13 July 2012 13 July 2012

15 IBNC New 13 July 2012 13 July 2012

16 IBNG New 13 July 2012 13 July 2012

17 IBPC New 13 July 2012 13 July 2012

18 IBRR New 13 July 2012 13 July 2012

19 LBAN LedgerBal-AvgNet New 13 July 2012 13 July 2012

20 LBAP LedgerBal-AvgPositive New 13 July 2012 13 July 2012

Balance on which the earnings allowance/credit rate is applied. This value can be signed either positive or negative. A negative-signed balance indicates a shortage of investable funds.and may result in a charge. AFP code=00 00 40

BJ 56TWIST & SWIFT

InterestBearingInvestableBalance

The average investable balance that can be used to show the base balance for the calculation of a hard interest credited. This is a hard interest credit as opposed to an earnings credit. AFP code=00 00 75

BJ 56TWIST & SWIFT

InterestBearingLedgerBalance

The average ledger balance that can be used to show the base balance for the calculation of a hard interest credited. This is a hard interest credit as opposed to an earnings credit. AFP code=00 00 70

BJ 56TWIST & SWIFT

InterestBearingNetCollectedBalance

The average net collected balance that can be used to show the base balance for the calculation of a hard interest credited. This is a hard interest credit as opposed to an earnings credit. AFP code=00 00 71

BJ 56TWIST & SWIFT

InterestBearingNegativeCollectedBalance

The average negatve collected balance that can be used to show the base balance for the calculation of a hard interest debit. This is a hard interest debit as opposed to an earnings credit debit. AFP code=00 00 73

BJ 56TWIST & SWIFT

InterestBearingPositiveCollectedBalance

The average positive collected balance that can be used to show the base balance for the calculation of a hard interest credited. This is a hard interest credit as opposed to an earnings credit. AFP code=00 00 72

BJ 56TWIST & SWIFT

InterestBearingReserveRequirementBalance

The average reserve requirement balance that can be used to show the base balance for the calculation of a hard interest credited. This is a hard interest credit as opposed to an earnings credit. AFP code=00 00 74

BJ 56TWIST & SWIFT

The sum of the daily ending ledger balances (both positive and negative) divided by the number of days in the statement period. A negative-signed value indicates a negative average NET balance. Balances are net of current period adjustments. The ledger balance includes any deposit money that has not been collected, ie, money in float.Note that a NET balance is equal to the POSITIVE balance less the NEGATIVE balance.Note that a NET Ledger Balance OD Interest Rate can be applied to this balance, if negative, to develop an OD interest charge. AFP code=00 00 00

BJ 56TWIST & SWIFT

The sum of only the daily ending POSITIVE ledger balances divided by the number of days in the statement period. Balances are net of current period adjustments. The ledger balance includes any deposit money that has not been collected, ie, money in float. Note that a POSITIVE balance is equal to the NET balance plus the NEGATIVE balance. AFP code=00 00 01

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 31-BillingBalanceType - Page: 189 of 241

Doc: document.xls 31-BillingBalanceType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingBalanceType1Code

Identification Status

Status Status Date Introduced DateCode Name Definition Origin/Requester21 LBME LedgerBal-MonthEnd New 13 July 2012 13 July 2012

22 LBNM LedgerBal-AvgNegative New 13 July 2012 13 July 2012

23 UCFU UncollectedFundsUsed New 13 July 2012 13 July 2012

Value of the book or ledger balance at the end of the calendar month. AFP code=00 00 05

BJ 56TWIST & SWIFT

The sum of only the daily ending NEGATIVE ledger balances divided by the number of days in the statement period. The average negative balance, if present, is always positively signed. Balances are net of current period adjustments. Note that a NEGATIVE balance is equal to the POSITIVE balance less the NET balance. Note that a NEGATIVE Ledger Balance Interest Rate can be applied to this balance to develop an OD interest charge. AFP code=00 00 03

BJ 56TWIST & SWIFT

That portion of the balance that is the difference between the average negative collected balance and the average negative ledger balance. This is used to isolate that portion of the negative collected balance that represents the use of uncollected funds. Balances are net of current period adjustments. Note that the Uncollected Funds Usage Rate can be applied to this balance to develop an Uncollected Funds OD interest charge. AFP code=00 00 15

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 32-BillingCompensationType - Page: 190 of 241

Doc: document.xls 32-BillingCompensationType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingCompensationType1Code

Identification Status

Status Status Date Introduced Date1 BACS BalanceCompensableServices New 13 July 2012 13 July 2012

2 CTND New 13 July 2012 13 July 2012

3 DEAD New 13 July 2012 13 July 2012

4 EALL EarningsAllowance New 13 July 2012 13 July 2012

5 EANA EarningsAllowance-NetAdjustment New 13 July 2012 13 July 2012

6 EDAA New 13 July 2012 13 July 2012

Code Name Definition Origin/RequesterTotal amount of service charges that can be offset by an earnings allowance credit. Such services carry a Payment Method code of ”Balance Compensable”. This amount is included in SettleChargeTtl-Current Period (AFP code 00 03 00). This value must be sent if the bank is providing an earnings credit based on deposit balances. AFP code=00 03 31

BJ 56TWIST & SWIFT

ChargesAndTaxes-NetDueThisStmt

Amount due to the bank for the settlement period, after all adjustments and deductions. Includes both service and tax charges. If nothing is due this value must be sent as zero. AFP code=00 03 14

BJ 56TWIST & SWIFT

DeficitEarningsAllowanceDueThisStmt

Amount due to the bank for balance compensable service charges which exceed the earnings allowance for the settlement period. This amount should be equal to the absolute value of the ExcessDeficitEarningsAllowance-Adjusted (AFP code 00 02 44). This value must be sent if the bank is providing an earnings credit based on deposit balances. AFP code=00 02 47

BJ 56TWIST & SWIFT

Value of balances maintained during the statement period which can be used to offset balance compensable service charges. This value must be sent if the bank is providing an earnings credit based on deposit balances. AFP code=00 02 40

BJ 56TWIST & SWIFT

Net value of balance and/or rate adjustments for prior periods to be applied to the current excess/(deficit) allowance. AFP code=00 02 43

BJ 56TWIST & SWIFT

ExcessDeficitEarningsAllowance-Adjusted

Excess/(deficit) earnings allowance for the analysis period plus or minus any net earnings allowance and/or balance compensable service charge adjustments. Note that in the absence of any EarningsAllowance-NetAdjust (AFP code 00 02 43) this balance is preferred instead of the ExcessDeficitEarningsAllowance (AFP code 00 02 41). This value must be sent if the bank is providing an earnings credit based on deposit balances. AFP code=00 02 44

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 32-BillingCompensationType - Page: 191 of 241

Doc: document.xls 32-BillingCompensationType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingCompensationType1Code

Identification Status

Status Status Date Introduced DateCode Name Definition Origin/Requester7 EDAL ExcessDeficitEarningsAllowance New 13 July 2012 13 July 2012

8 FESS FeesPaid Charges from a prior billing period which have been paid. AFP code=00 03 22 New 13 July 2012 13 July 2012

9 FREE FreeServices New 13 July 2012 13 July 2012

10 NBCS Non-BalCompensableServices New 13 July 2012 13 July 2012

11 PVCS PreviouslyChargedServices New 13 July 2012 13 July 2012

12 SCAB New 13 July 2012 13 July 2012

13 SCAN New 13 July 2012 13 July 2012

14 SCBT ServiceChargesDueBeforeTax New 13 July 2012 13 July 2012

The difference between the earnings allowance and the balance compensable service charges. Excess allowance occurs when the earnings allowance exceeds the total balance compensable service charges. A Deficit allowance occurs when the total balance compensable service charges exceed the earnings allowance. Excess allowances may be carried forward into future statement periods at the bank’s discretion. Deficit allowances are typically reflected as charges due to the bank in the form of DeficitEarningsAllowanceDueThisStmt (AFP code 00 02 47). This value must be sent if the bank is providing an earnings credit based on deposit balances. AFP code=00 02 41

BJ 56TWIST & SWIFT

BJ 56TWIST & SWIFT

Total amount of service charges as listed in the Service Sections that are provided free of charge. Such services carry a Payment Method code of "FREE" (Free). This amount is included in SettleChargetTL-Current Period (AFP code 00 03 00). Should be sent if there are any “Free” service charges in the Service Sections. It is assumed that “waived” and “free” services are not taxed. AFP code=00 03 36

BJ 56TWIST & SWIFT

Total amount of service charges due as of this statement that are not eligible to be offset by an earnings allowance credit. Such services carry a Payment Method code of “FLAT" (HardCharge). This amount is included in SettleChargeTtl-CurrentPeriod (AFP code 00 03 00 ). AFP code=00 03 00

BJ 56TWIST & SWIFT

Total amount of service charges as listed in the Service Sections but assessed previously and which, therefore, are not due. Such services carry a Payment Method code of "PVCH" (PreviouslyCharged). This amount is included in SettleChargetTL-CurrentPeriod (AFP code 00 03 00). Should be sent if there are any "Previously Charged" services in the Service Sections. AFP code=00 03 35

BJ 56TWIST & SWIFT

ServCharges-NetAdjust-BalCompensable

Net value of adjustments to balance compensable service charges for a prior period(s) to be applied to the current excess/(deficit) allowance. AFP cod=00 03 32

BJ 56TWIST & SWIFT

ServCharges-NetAdjust-Non-BalCompensable

Total of all service charge adjustments that are not eligible to be offset by an earnings allowance credit. This can be a positive-signed or negative-signed number. AFP code=00 03 33

BJ 56TWIST & SWIFT

The total amount of service charges due exclusive of taxes due. AFP code=00 03 11

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 32-BillingCompensationType - Page: 192 of 241

Doc: document.xls 32-BillingCompensationType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingCompensationType1Code

Identification Status

Status Status Date Introduced DateCode Name Definition Origin/Requester15 SCCP SettleChargeTtl- CurrentPeriod New 13 July 2012 13 July 2012

16 SCDB ServiceCharges–Debited New 13 July 2012 13 July 2012

17 SCDI ServiceCharges–Discount The total amount of any service charge discount. AFP code=00 03 41 New 13 July 2012 13 July 2012

18 SCIN ServiceCharges–Invoiced New 13 July 2012 13 July 2012

19 TICD TtlInterestCredited New 13 July 2012 13 July 2012

20 TXSC TaxableServiceCharges New 13 July 2012 13 July 2012

21 TXTS TaxTotalSum New 13 July 2012 13 July 2012

22 WAIV WaivedServices New 13 July 2012 13 July 2012

Total charges before credit for services provided during the current statement period. This total is the arithmetic sum of all charges listed in the Settlement Amount element of the Service Sections in the statement regardless of the Payment Method code . It includes all Balance Compensable charges, Hard charges, Previously Charged charges, Waived charges and Free charges. It does not include any tax charges related to the services. AFP code=00 03 00

BJ 56TWIST & SWIFT

Amount of ChargesAndTaxes-NetDueThisStmt (AFP code 00 03 14 ) that are directly debited from the customer’s account. AFP code=00 03 50

BJ 56TWIST & SWIFTBJ 56TWIST & SWIFT

Amount of ChargesAndTaxes-NetDueThisStmt (AFP code 00 03 14 ) that are invoiced. AFP code=00 03 A0

BJ 56TWIST & SWIFT

Total amount of hard interest credited to a designated account. The amount of hard interest credited, if any, is calculated by applying the Interest Credited rate against a negative balance as reported in the Balance Section with a Balance Identifier of ExcessDeficitCollectedBal (AFP code 00 04 12). AFP code=00 00 76

BJ 56TWIST & SWIFT

The total amount of service charges that were subject to taxes. AFP code=00 03 13

BJ 56TWIST & SWIFT

The Sum of all the individual tax values as contained in either the individual Service Sections or Tax Sections. AFP code=00 03 60

BJ 56TWIST & SWIFT

Amount of service charges otherwise due that are waived on this statement. Such services carry a Payment Method code of “WVED" (Waived). Note that this amount does not include line item free services (AFP code 00 03 36). This amount is included in SettleChargetTL-Current Period (AFP code 00 03 00). Any such line item waivers or free services are not brought forward into the Compensation calculations. It is assumed that “waived” and “free” services are not taxed. afp CODE=00 03 40

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 33-BillingRateIdentification - Page: 193 of 241

Doc: document.xls 33-BillingRateIdentification Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingRateIdentification1CodeIdentification Status

Status Status Date Introduced Date1 AEAR AdjustedEarningsAllowanceRate New 13 July 2012 13 July 2012

2 ANXE AdjustedNextMonthEarningsRate New 13 July 2012 13 July 2012

3 CDRA CDRate New 13 July 2012 13 July 2012

4 DINR DeficiencyInterestRate New 13 July 2012 13 July 2012

5 DSCR DeficiencySurchargeRate New 13 July 2012 13 July 2012

6 EALR EarningsAllowanceRate New 13 July 2012 13 July 2012

7 FDIC FDICRate New 13 July 2012 13 July 2012

8 ICDR InterestCreditedRate New 13 July 2012 13 July 2012

Code Name Definition Origin/RequesterPer annum earnings rate, adjusted for reserves, applied to the current analysis period’s investable balance for calculation of the earnings allowance credit. The ECR, Net of Reserves, is calculated as: ECR, Net of Reserves = ECR, Not Net (00 01 22) * (1 – Reserve Rate)

BJ 56TWIST & SWIFT

The anticpated earnings allowance rate, as adjusted, to be used next month in the calculation of the earnings allowance. See AEAR AdjustedEarningsAllowance Rate

BJ 56TWIST & SWIFT

The current CD (Certificate of Deposit) rate as published by the bank.

BJ 56TWIST & SWIFT

The per annum rate used to calculate the Deficiency Interest amount to be paid to the bank.

BJ 56TWIST & SWIFT

The per annum rate used to calculate a surcharge based on the Deficiency Interest amount to be paid to the bank.

BJ 56TWIST & SWIFT

Per annum earnings rate applied to the current statement period’s investable balance for calculation of the earnings allowance credit. The earnings allowance credit is used to offset the charges for balance compensable services. This rate has NOT been adjusted for reserves. The ECR, Not Net of Reserves, is calculated as: ECR, Not Net = ECR, Net of Reserves (00 01 20) / (1 – Reserve Rate)

BJ 56TWIST & SWIFT

The current FDIC rate used in the US to calculate the Federal Deposit Insurance premium paid by the banks to the FDIC.

BJ 56TWIST & SWIFT

Per annum interest rate used to calculate the interest amount credited to a designated account. The amount of interest credited, if any, is reported in a Compensation Section with a Compensation Identifier of TtlInterestCredited

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 33-BillingRateIdentification - Page: 194 of 241

Doc: document.xls 33-BillingRateIdentification Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingRateIdentification1CodeIdentification Status

Status Status Date Introduced DateCode Name Definition Origin/Requester9 MULT Multiplier New 13 July 2012 13 July 2012

10 NCBO NetCollectedBalanceOverdraftRate New 13 July 2012 13 July 2012

11 NGCO NegativeCollectedOverdraftRate New 13 July 2012 13 July 2012

12 NGLO NegativeLedgerOverdraftRate New 13 July 2012 13 July 2012

13 NLBO NetLedgerBalanceOverdraftRate New 13 July 2012 13 July 2012

14 NXME NextMonthEarningsAllowanceRate New 13 July 2012 13 July 2012

15 NXMU NextMonthMultiplier New 13 July 2012 13 July 2012

16 PRIR PrimeRate The current per annum Prime rate as published by the bank. New 13 July 2012 13 July 2012

17 RRQR ReserveRequirementRate-NonDDA New 13 July 2012 13 July 2012

The collected balance required to offset $1.00 of balance compensable service charges. This factor can be used to calculate the balance equivalent of balance compensable service charges. The multiplier is calculated in one of three different ways depending on whether the Earnings Allowance Rate (ECR) is adjusted for reserves or not (net of reserves or not) and, in the case where the ECR is not adjusted for reserves, whether the multiplier is adjusted for reserves or not.

BJ 56TWIST & SWIFT

Per annum interest rate used to calculate overdraft compensation on an average net collected balance which is negative (AFP balance 00 00 10). An average NET balance is negative when the sum of the daily ending POSITIVE and NEGATIVE balances is negative.

BJ 56TWIST & SWIFT

Per annum interest rate applied to NEGATIVE collected balances (AFP balance 00 00 13) for calculation of overdraft compensation.

BJ 56TWIST & SWIFT

Per annum interest rate applied to NEGATIVE ledger balances (AFP balance 00 00 03) for calculation of overdraft compensation.

BJ 56TWIST & SWIFT

Per annum interest rate used to calculate overdraft compensation on an average net ledger balance which is negative (AFP balance 00 00 00). An average NET balance is negative when the sum of the daily ending POSITIVE and NEGATIVE balances is negative.

BJ 56TWIST & SWIFT

The anticpated earnings allowance rate to be used next month in the calculation of the earnings allowance. See EALR EarningsAllowance Rate

BJ 56TWIST & SWIFT

The anticipated Multiplier to be used next month. See MULT Multiplier.

BJ 56TWIST & SWIFTBJ 56TWIST & SWIFT

The per annum reserve rate as applied to non demand deposit accounts such as time deposit or CD accounts.

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 33-BillingRateIdentification - Page: 195 of 241

Doc: document.xls 33-BillingRateIdentification Source: ISO 20022.orgEdition: 7 February, 2013

ExternalBillingRateIdentification1CodeIdentification Status

Status Status Date Introduced DateCode Name Definition Origin/Requester18 RSRV ReserveRequirementRate New 13 July 2012 13 July 2012

19 UFUR UncollectedFundsUsageRate New 13 July 2012 13 July 2012

Per annum interest rate used to calculate that portion of the CollectedBal-AvgPositive that US banks must keep on deposit at the US Federal Reserve.

BJ 56TWIST & SWIFT

Per annum interest rate assessed on that portion of the account balance which is the difference between the average negative ledger and the average negative collected balance (AFP balance 00 00 15). This rate is used to assess compensation on the portion of the negative collected balance that represents the use of uncollected funds.

BJ 56TWIST & SWIFT

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 34-RePresentmentReason - Page: 196 of 241

Doc: document.xls 34-RePresentmentReason Source: ISO 20022.orgEdition: 7 February, 2013

ExternalRePresentmentReason1CodeIdentification Status

Origin/Requester Status Status Date1 AMCR Amount Corrected Amount corrected due to proof of transaction New 30 January 2013 30 January 2013

2 CLSD New 30 January 2013 30 January 2013

3 CRPI Credit Previously Issued Credit previously issued New 30 January 2013 30 January 2013

4 OTVA Original Transaction Valid Original transaction was valid New 30 January 2013 30 January 2013

5 VLSD Verification Liability Shift Denied New 30 January 2013 30 January 2013

Code Name DefinitionIntroduced Date

PaymentSD1V01/Berlin Group

Card Authentication Liability Shift Denied

Liability Shift to acquirer due to missing card authentication method denied

PaymentSD1V01/Berlin GroupPaymentSD1V01/Berlin GroupPaymentSD1V01/Berlin Group

Liability Shift to acquirer due to missing cardholder verification method denied

PaymentSD1V01/Berlin Group

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 35-Channel - Page: 197 of 241

Doc: document.xls 35-Channel Source: ISO 20022.orgEdition: 7 February, 2013

ExternalChannel1Code

Identification Status

Status Status Date Introduced Date1 COUR Courier Delivery by courier. BJ53/SWIFT New 14 December 2012 14 December 20122 EMAL Email Transmission by e-mail. BJ53/SWIFT New 14 December 2012 14 December 20123 FAXI Fax Transmission by fax. BJ53/SWIFT New 14 December 2012 14 December 20124 MESS Messenger Delivery by messenger. BJ53/SWIFT New 14 December 2012 14 December 20125 POST Post Delivery by postal service. BJ53/SWIFT New 14 December 2012 14 December 20126 REGM RegisteredMail Delivery by registered mail services. BJ53/SWIFT New 14 December 2012 14 December 20127 SEMA SecureEmail Transfer via secure e-mail. BJ53/SWIFT New 14 December 2012 14 December 20128 SWFA SWIFTNetFileAct Transmission by SWIFTNet FileAct. BJ53/SWIFT New 14 December 2012 14 December 20129 SWIA SWIFTNetInterAct Transmission by SWIFTNet InterAct. BJ53/SWIFT New 14 December 2012 14 December 2012

10 SWMT SWIFTMT Transmission by SWIFT (FIN). BJ53/SWIFT New 14 December 2012 14 December 201211 SWMX SWIFTMX Transmission by SWIFTNet. BJ53/SWIFT New 14 December 2012 14 December 201212 TELE Telecommunication Transmission by telecommunications service. BJ53/SWIFT New 14 December 2012 14 December 201213 WEBM WebUploadDownload Available via Web upload/download BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 36-DateFrequency - Page: 198 of 241

Doc: document.xls 36-DateFrequency Source: ISO 20022.orgEdition: 7 February, 2013

ExternalDateFrequency1Code

Identification Status

Status Status Date Introduced Date1 MNTH Monthly Frequency is monthly. BJ53/SWIFT New 14 December 2012 14 December 20122 QUTR Quarterly Frequency is quarterly (every three months). BJ53/SWIFT New 14 December 2012 14 December 20123 SEMI SemiAnnual Frequency is semi-annual (every six months). BJ53/SWIFT New 14 December 2012 14 December 20124 TOMN TwoMonthly Frequency is two-monthly (every two months). BJ53/SWIFT New 14 December 2012 14 December 20125 YEAR Annual Frequency is annual. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 37-DocumentFormat - Page: 199 of 241

Doc: document.xls 37-DocumentFormat Source: ISO 20022.orgEdition: 7 February, 2013

ExternalDocumentFormat1Code

Identification Status

Status Status Date Introduced Date1 DPDF PDF Document format is PDF. BJ53/SWIFT New 14 December 2012 14 December 20122 DXML XML Document format is XML. BJ53/SWIFT New 14 December 2012 14 December 20123 SDSH Spreadsheet Document format is a spreadsheet. BJ53/SWIFT New 14 December 2012 14 December 20124 WORD Word Document format is Word. BJ53/SWIFT New 14 December 2012 14 December 20125 XSLT XSLT Document format is XSLT. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 38-ModelFormIdentification - Page: 200 of 241

Doc: document.xls 38-ModelFormIdentification Source: ISO 20022.orgEdition: 7 February, 2013

ExternalModelFormIdentification1Code

Identification Status

Status Status Date Introduced Date1 ISP1 ISP98ModelForm1 BJ53/SWIFT New 14 December 2012 14 December 2012

2 ISP2 ISP98ModelForm2 BJ53/SWIFT New 14 December 2012 14 December 2012

3 ISP3 ISP98ModelForm3 BJ53/SWIFT New 14 December 2012 14 December 2012

4 ISP4 ISP98ModelForm4 BJ53/SWIFT New 14 December 2012 14 December 2012

5 ISP5 ISP98ModelForm5 ISP98 model form for simplified demand only standby. BJ53/SWIFT New 14 December 2012 14 December 20126 ISP6 ISP98ModelForm6 BJ53/SWIFT New 14 December 2012 14 December 2012

7 ISP7 ISP98ModelForm7 ISP98 model form for standby requiring confirmation. BJ53/SWIFT New 14 December 2012 14 December 20128 ISP8 ISP98ModelForm8 ISP98 model form for confirmation of standby. BJ53/SWIFT New 14 December 2012 14 December 20129 UDG1 URDGDemandGuarantee BJ53/SWIFT New 14 December 2012 14 December 2012

10 UDG2 URDGCounterGuarantee BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/RequesterISP98 model form for standby incorporating annexed form of payment demand with statement.ISP98 model form or standby providing for extension and incorporating annexed form of payment demand with alternative non-extension statement.ISP98 model form or standby providing for reduction and incorporating annexed form of reduction demand. ISP98 model form for standby providing for transfer and incorporating annexed form of transfer demand.

ISP98 model form for counter standby with annexed form of local bank undertaking.

Model form for demand guarantee defined in the latest version of the ICC Uniform Rules For Demand Guarantees (URDG).Model form for counter-guarantee defined in the latest version of the ICC Uniform Rules For Demand Guarantees (URDG).

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 39-NarrativeType - Page: 201 of 241

Doc: document.xls 39-NarrativeType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalNarrativeType1Code

Identification Status

Status Status Date Introduced Date1 ADDI AdditionalTermsAndConditions Narrative text describing the additional terms and conditions. BJ53/SWIFT New 14 December 2012 14 December 20122 CHAR ChargeDetails Narrative text describing the charge details. BJ53/SWIFT New 14 December 2012 14 December 20123 DRAW DrawingDetails Narrative text describing the drawing details. BJ53/SWIFT New 14 December 2012 14 December 20124 PRAS ProceedsAssignable BJ53/SWIFT New 14 December 2012 14 December 2012

5 TEFF TermsOfEffectiveness Narrative text describing the terms of effectiveness. BJ53/SWIFT New 14 December 2012 14 December 20126 TRNF Transfer Narrative text describing the transfer terms and conditions. BJ53/SWIFT New 14 December 2012 14 December 20127 TVAR TermsOfVariation Narrative text describing the terms of variation. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Narrative text describing the assignment of proceeds terms and conditions.

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 40-RelativeTo - Page: 202 of 241

Doc: document.xls 40-RelativeTo Source: ISO 20022.orgEdition: 7 February, 2013

ExternalRelativeTo1Code

Identification Status

Status Status Date Introduced Date1 GOOD ValueOfGoods Percentage rate expressed relative to the value of goods. BJ53/SWIFT New 14 December 2012 14 December 20122 PAYM PaymentAmount Percentage rate expressed relative to the payment amount. BJ53/SWIFT New 14 December 2012 14 December 20123 UNDG UndertakingAmount Percentage rate expressed relative to the undertaking amount. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 41-TypeOfParty - Page: 203 of 241

Doc: document.xls 41-TypeOfParty Source: ISO 20022.orgEdition: 7 February, 2013

ExternalTypeOfParty1Code

Identification Status

Status Status Date Introduced Date1 ADVP AdvisingParty Party advising the undertaking. BJ53/SWIFT New 14 December 2012 14 December 20122 ANYB AnyBank Any bank. BJ53/SWIFT New 14 December 2012 14 December 20123 APPL Applicant Party named in the undertaking as the “applicant”. BJ53/SWIFT New 14 December 2012 14 December 20124 BENE Beneficiary BJ53/SWIFT New 14 December 2012 14 December 2012

5 CONF ConfirmationParty Party that adds its undertaking to honour the undertaking. BJ53/SWIFT New 14 December 2012 14 December 20126 CUB2 Beneficiary of the second counter-undertaking. BJ53/SWIFT New 14 December 2012 14 December 2012

7 CUB3 Beneficiary of the third counter-undertaking. BJ53/SWIFT New 14 December 2012 14 December 2012

8 ISSU Issuer Party that issues the undertaking (or counter-undertaking). BJ53/SWIFT New 14 December 2012 14 December 20129 OBLG Obligor Party obligated to reimburse the issuer. BJ53/SWIFT New 14 December 2012 14 December 2012

10 ORDR OrderingParty BJ53/SWIFT New 14 December 2012 14 December 2012

11 PRES PresentingParty Party nominated to receive presentation. BJ53/SWIFT New 14 December 2012 14 December 201212 SADV SecondAdvisingParty Second advising party. BJ53/SWIFT New 14 December 2012 14 December 201213 SPEC SpecifiedAddress Party located at specified address. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Party in whose favour the undertaking (or counter-undertaking) is issued.

SecondCounterUndertakingBeneficiaryThirdCounterUndertakingBeneficiary

Party requested to issue an undertaking on behalf of the applicant. Also known as the ordering institution or applicant's bank.

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 42-UnderlyingTradeTransactionTp - Page: 204 of 241

Doc: document.xls 42-UnderlyingTradeTransactionTp Source: ISO 20022.orgEdition: 7 February, 2013

ExternalUnderlyingTradeTransactionType1Code

Identification Status

Status Status Date Introduced Date1 CONT Contract Underlying transaction is a contract. BJ53/SWIFT New 14 December 2012 14 December 20122 DELV DeliveryOrder Underlying transaction is a delivery order. BJ53/SWIFT New 14 December 2012 14 December 20123 PROF ProformaInvoice Underlying transaction is a proforma invoice. BJ53/SWIFT New 14 December 2012 14 December 20124 PROJ Project Underlying transaction is a project. BJ53/SWIFT New 14 December 2012 14 December 20125 PUOR PurchaseOrder Underlying transaction is a purchase order. BJ53/SWIFT New 14 December 2012 14 December 20126 QUOT Quotation Underlying transaction is a quotation. BJ53/SWIFT New 14 December 2012 14 December 20127 TEND Tender Underlying transaction is a tender. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 43-UndertakingAmountType - Page: 205 of 241

Doc: document.xls 43-UndertakingAmountType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalUndertakingAmountType1Code

Identification Status

Status Status Date Introduced Date1 INCR Increase Amount is an increase. BJ53/SWIFT New 14 December 2012 14 December 20122 REDC Reduction Amount is a reduction. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 44-UndertakingChargeType -

Doc: document.xls 44-UndertakingChargeType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalUndertakingChargeType1Code

Identification Status

Status Status Date Introduced Date1 AMND Amendment Charge related to the issuance of an amendment. BJ53/SWIFT New 14 December 2012 14 December 20122 CLAM Claim Charge related to the processing of a claim. BJ53/SWIFT New 14 December 2012 14 December 20123 COMM Commission Commission charge. BJ53/SWIFT New 14 December 2012 14 December 20124 CONF Confirmation Charge for confirmation. BJ53/SWIFT New 14 December 2012 14 December 20125 COUR Courier Courier charge. BJ53/SWIFT New 14 December 2012 14 December 20126 ISSU IssuanceCharge Charge related to the issuance of an undertaking. BJ53/SWIFT New 14 December 2012 14 December 20127 MISC Miscellaneous Miscellaneous charge. BJ53/SWIFT New 14 December 2012 14 December 20128 PAYM Payment Charge related to the payment processing. BJ53/SWIFT New 14 December 2012 14 December 20129 POST Postage Postage charge. BJ53/SWIFT New 14 December 2012 14 December 2012

10 TELE Telecommunication Telecommunication charge. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 45-UndertakingDocumentType1 - Page: 207 of 241

Doc: document.xls 45-UndertakingDocumentType1 Source: ISO 20022.orgEdition: 7 February, 2013

ExternalUndertakingDocumentType1Code

Identification Status

Status Status Date Introduced Date1 BENS BeneficiaryStatement Document is a beneficiary statement. BJ53/SWIFT New 14 December 2012 14 December 20122 CINV CommercialInvoice Document is an invoice. BJ53/SWIFT New 14 December 2012 14 December 20123 CLAF ClaimForm Document is a claim form. BJ53/SWIFT New 14 December 2012 14 December 20124 DEMD Demand Document is an undertaking demand. BJ53/SWIFT New 14 December 2012 14 December 20125 TRAF TransferForm Document is a transfer form. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 46-UndertakingDocumentType2 - Page: 208 of 241

Doc: document.xls 46-UndertakingDocumentType2 Source: ISO 20022.orgEdition: 7 February, 2013

ExternalUndertakingDocumentType2Code

Identification Status

Status Status Date Introduced Date1 BENS BeneficiaryStatement Document is a beneficiary statement. BJ53/SWIFT New 14 December 2012 14 December 20122 CINV CommercialInvoice Document is an invoice. BJ53/SWIFT New 14 December 2012 14 December 20123 TRAF TransferForm Document is a transfer form. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 47-UndertakingStatusCategory - Page: 209 of 241

Doc: document.xls 47-UndertakingStatusCategory Source: ISO 20022.orgEdition: 7 February, 2013

ExternalUndertakingStatusCategory1Code

Identification Status

Status Status Date Introduced Date1 AMND Amendment Status is related to an undertaking amendment. BJ53/SWIFT New 14 December 2012 14 December 20122 AMTC CounterUndertakingAmountStatus Status is related to a counter-undertaking amount. BJ53/SWIFT New 14 December 2012 14 December 2012

3 AMTU UndertakingAmountStatus Status is related to an undertaking amount. BJ53/SWIFT New 14 December 2012 14 December 20124 APPL Application Status is related to an undertaking application. BJ53/SWIFT New 14 December 2012 14 December 20125 BAMD BeneficiaryAmendment BJ53/SWIFT New 14 December 2012 14 December 2012

6 CONF Confirmation Status is related to an undertaking confirmation. BJ53/SWIFT New 14 December 2012 14 December 20127 DEMD Demand Status is related to an undertaking demand. BJ53/SWIFT New 14 December 2012 14 December 20128 NEXT NonExtension Status is related to an undertaking non-extension request. BJ53/SWIFT New 14 December 2012 14 December 20129 TERM Termination Status is related to an undertaking termination. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Status is related to an undertaking amendment requested by the beneficiary.

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 48-UndertakingType - Page: 210 of 241

Doc: document.xls 48-UndertakingType Source: ISO 20022.orgEdition: 7 February, 2013

ExternalUndertakingType1Code

Identification Status

Status Status Date Introduced Date1 APAY AdvancePayment Undertaking in support of an advance payment obligation. BJ53/SWIFT New 14 December 2012 14 December 20122 COMM Commercial Undertaking in support of a commercial obligation. BJ53/SWIFT New 14 December 2012 14 December 20123 CUST Customs Undertaking in support of a customs duty obligation. BJ53/SWIFT New 14 December 2012 14 December 20124 DPAY DirectPay Undertaking representing the primary means of payment. BJ53/SWIFT New 14 December 2012 14 December 20125 FINC Financial Undertaking in support of a financial obligation. BJ53/SWIFT New 14 December 2012 14 December 20126 INSU Insurance Undertaking in support of a insurance obligation. BJ53/SWIFT New 14 December 2012 14 December 20127 IRBO IndustrialRevenueBoard Undertaking in support of an Industrial Revenue Board (IRB) obligation. BJ53/SWIFT New 14 December 2012 14 December 20128 MAIN Maintenance Undertaking in support of a maintenance obligation. BJ53/SWIFT New 14 December 2012 14 December 20129 PAYM Payment Undertaking in support of a payment obligation. BJ53/SWIFT New 14 December 2012 14 December 2012

10 PERF Performance Undertaking in support of a performance obligation. BJ53/SWIFT New 14 December 2012 14 December 201211 RETN Retention Undertaking in support of a monetary retention obligation. BJ53/SWIFT New 14 December 2012 14 December 201212 SHIP Shipping Undertaking in support of a sea transportation obligation. BJ53/SWIFT New 14 December 2012 14 December 201213 TEND TenderOrBid Undertaking in support of a tender or bid obligation. BJ53/SWIFT New 14 December 2012 14 December 201214 WARR Warranty Undertaking in support of a warranty obligation. BJ53/SWIFT New 14 December 2012 14 December 2012

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50ISO 20022 External Code Sets

- 49-DocumentLineType – Page: 211 of 241

Doc: document.xls 49-DocumentLineType Source: ISO 20022.orgEdition: 17 April 2014

ExternalDocumentLineType1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 ADPI Additional Product Identification Assigned by the Manufacturer Line item reference is an additional product identification assigned by the manufacturer. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20142 AISB Alternate ISBN Line item reference is an alternate International Standard Book Number (ISBN). BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20143 ASNB Asset Number Line item reference is an asset number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20144 CTNB Catalog Number Line item reference is a catalog number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20145 DBSP Dun & Bradstreet Standard Product and Service Code Line item reference is Dun & Bradstreet Standard Product and Service code. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20146 EANN European Article Number (EAN) (2-5-5-1) Line item reference is an European Article Number (EAN). BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20147 EINB Equipment Identification Number Line item reference is an equipment identification number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20148 GSNB General Specification Number Line item reference is a general specification number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20149 HIBC HIBC (Health Care Industry Bar Code) Line item reference is a Health Care Industry Bar Code (HIBC) BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201410 ISBN International Standard Book Number (ISBN) Line item reference is an International Standard Book Number (ISBN). BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201411 LTNB Lot Number Line item reference is a lot number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201412 MDNB Model Number Line item reference is a model number BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201413 PRNB Part Number Line item reference is a part reference number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201414 PTCD Product Type Code Line item reference is a product type code. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201415 SKNB Stock Number Line item reference is a stock number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201416 STNB Style Number Line item reference is a style number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201417 TONB Technical Order Number Line item reference is a technical order number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201418 UPCC UPC Consumer Package Code Line item reference is an UPC consumer package code. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 201419 UPNB Universal Product Number Line item reference is an Universal Product Number. BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 2014

Code Name Definition

Date of printing: 05/08/2023-19:48:50ISO 20022 External Code Sets

- 50-GarnishmentType – Page: 212 of 241

Doc: document.xls 50-GarnishmentType Source: ISO 20022.orgEdition: 17 April 2014

ExternalGarnishmentType1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 GNCS GarnishmentForChildSupport Garnishment from a third party payer for Child Support BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20142 GNDP GarnishmentForChildSupportFromDirectPayer Garnishment from a direct payer for Child Support BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 20143 GTPP GarnishmentToTaxingAgency Garnishment from a third party payer to taxing agency BJ 46 - RemittanceAdvice - IFX & OAGi New 17 April 2014 17 April 2014

Code Name Definition

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 51-TradeMarket - Page: 213 of 241

Doc: document.xls 51-TradeMarket Source: ISO 20022.orgEdition: 28 April 2015

ExternalTradeMarket1CodeIdentification Status

Origin/Requester Status Status Date Introduced Date1 FDMS FactoringDomestic Factoring service provider, Factoring client and third party in the same country BJ61/ASF New 28 April 2015 28 April 20152 FEXP FactoringExport Factoring service provider, Factoring client in the same country, third party in another country BJ61/ASF New 28 April 2015 28 April 20155 FFDM FactoringForeignDomestic Factoring client and third party in the same country, Factoring service provider in another country BJ61/ASF New 28 April 2015 28 April 20153 FFDT FactoringFrenchDomTom Factoring service provider, Factoring client and third party in the same country, but factoring client has an exceptional VAT ruling, for example if it’s overseas BJ61/ASF New 28 April 2015 28 April 20154 FIMP FactoringImport Factoring service provider and third party in the same country, Factoring client in another country BJ61/ASF New 28 April 2015 28 April 20156 FREX FactoringReexportedExport Factoring service provider, Factoring client and third party in three different countries BJ61/ASF New 28 April 2015 28 April 2015

Code Name Definition

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 52-MandateSetupReason - Page: 214 of 241

Doc: document.xls 52-MandateSetupReason Source: ISO 20022.orgEdition: 31 August 2015

ExternalMandateSetupReason1Code

Identification Status

Status Status Date Introduced Date1 Currently no codes have been defined.23456789

101112131415161718

Code Name Definition Origin/Requester

Date of printing: 05/08/2023-19:48:50 ISO 20022 External Code Sets- 53-ValidationRuleIdentification - Page: 215 of 241

Doc: document.xls 53-ValidationRuleIdentification Source: ISO 20022.orgEdition: 21 October 2016

ExternalValidationRuleIdentification1CodeIdentification Status

Status Status Date Introduced Date1 CCTR Cross-border Transactions Currency Control Reporting RU-CMPG (Russian Corporate-to-Bank Market Practice Group) New March 2016 1 April 2016

2 ITRP Invoice Tax Reporting Identifies the validation rules related to the invoice tax reporting FFI (Federation of Finnish Financial Services) New October 2016 21 October 2016

3 MMSR Money Market Statistical Reporting ECB (European Central Bank) New March 2016 1 April 2016

4 SMMD Sterling Money Market Daily BOE (Bank Of England) New March 2016 1 April 2016

56789

101112131415161718

Code Name Definition Origin/RequesterIdentifies the validation rules related to the Russian Cross-border Transactions Currency Control Reporting

Identifies the validation rule scheme related to the ECB Euro Money Market Statistical ReportingIdentifies the validation rules related to the Bank Of England Sterling Money Market Daily Reporting

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 54-ContractClosureReason - Page: 216 of 241

Doc: document.xls 54-ContractClosureReason Source: ISO 20022.orgEdition:22 April 2016

ExternalContractClosureReason1Code

CODES ALLOWED FOR REPORTING PARTY

Identification Status

Status Status Date Introduced Date1 PCED Completed Contract. New April 2016 22 April 2016

2 POTR Other reasons that the liabilities of the contract are fufilled. New April 2016 22 April 2016

3 PRNR Contract Registration Not Required. New April 2016 22 April 2016

4 PSBT Party cedes a claim or transfers a debt to another resident party. New April 2016 22 April 2016

5 PSNR Party subsituted registration is not required.The resident cedes a claim under the contract (loan agreement) to a non-resident.

New April 2016 22 April 2016

6 PTAA Transferred to Another Registration Agent or All Accounts closed. New April 2016 22 April 2016

CODES ALLOWED FOR THE REGISTRATION AGENT

Identification StatusStatus Status Date Introduced Date

1 RACC All Accounts Closed New April 2016 22 April 2016

2 RCED All Contract liabilities have been fulfilled by the Registration Agent. New April 2016 22 April 2016

3 REXP Registration Expired New April 2016 22 April 2016

Code Name

DefinitionThe resident presents to the bank of the registered contract (registration agent) an application for closing the registered contract in the following cases: Origin/RequesterThe parties have fulfilled all liabilities under the contract (loan agreement), including fulfillment of the liabilities by a resident third party (by another resident party).

RU-CMPG (Russian Corporate-to-Bank Market Practice Group)

If the liabilities under the contract (loan agreement) are fulfilled (stopped) on other grounds, not mentioned in the currency control regulation.

RU-CMPG (Russian Corporate-to-Bank Market Practice Group)

At the termination of the grounds (under the regulation) require the registered contract to be issued, including the cases resulting from making the appropriate changes and (or) additions to the contract (loan agreement), or if the registered contract has been wrongly issued in the absence in the contract (loan agreement) of any grounds for its issuance.

RU-CMPG (Russian Corporate-to-Bank Market Practice Group)

The resident cedes a claim under the contract (loan agreement) to another resident party, or transfers a debt under the contract (loan agreement) to another resident party.

RU-CMPG (Russian Corporate-to-Bank Market Practice Group)RU-CMPG (Russian Corporate-to-Bank Market Practice Group)

The registered contract has been transferred from the bank together with the transfer of the underlying contract (loan agreement) for servicing to another authorised bank (to another affiliate of this authorised bank, from the head office to an affiliate of this authorised bank, or from an affiliate to the head office of this authorised bank), as well as if the resident closes all settlement accounts in the bank of the registered contract.

RU-CMPG (Russian Corporate-to-Bank Market Practice Group)

Code NameDefinitionThe bank maintaining the records of the registered contract has the right to close the registered contract on its own after 180 calendar days following the date pointed out in the registered contract, in the following cases:

Origin/Requester

All customer's accounts are closed: In the case the resident closes all settlement accounts at the bank where the contract was registered without closing the registered contract according to the regulation, the bank shall be entitled to independently close the registered contract after the expiration of 30 working days following the date of closing of the settlement account (last settlement account) of the resident.

RU-CMPG (Russian Corporate-to-Bank Market Practice Group)

If the bank has all information available for the closing of the registered contract, and all liabilities under the contract (loan agreement) have been fulfilled (terminated), while the resident has not filled an application for closing the registered contract.

RU-CMPG (Russian Corporate-to-Bank Market Practice Group)

In case of failure (on the basis of the information available in the registered contracts data base at the bank) of all obligations under the contract (loan agreement), and failure to provide by a resident of the documents and information (under the regulation), based on which the registered agent conducts a statement of banking supervision, within 180 calendar days following the date specified in the specified section (for example column 6 of Section 3 for Russia) of the registered contract.In the case referred to in this paragraph, the bank informs (at its discretion) the resident about the closure of the registered contract not later than in two working days after the date of its closure.

RU-CMPG (Russian Corporate-to-Bank Market Practice Group)

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 55-ContractBalanceType - Page: 217 of 241

Doc: document.xls 55-ContractBalanceType Source: ISO 20022.orgEdition:22 April 2016

ExternalContractBalanceType1CodeIdentification Status

Definition Status Status Date Introduced Date1 EXPC Current Exposure Revolver loan current exposure (applicable on loan contracts types) RU-CMPG (Russian Corporate-to-Bank Market Practice Group) New April 2016 22 April 20162 EXPT Total Exposure Total loan exposure for loans with total loan limit (applicable on loan contracts types) RU-CMPG (Russian Corporate-to-Bank Market Practice Group) New April 2016 22 April 2016

Code Name Origin/Requester

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 56-ShipmentCondition - Page: 218 of 241

Doc: document.xls 56-ShipmentCondition Source: ISO 20022.orgEdition: 22 April 2016

ExternalShipmentCondition1CodeIdentification StatusDefinition Status Status Date Introduced Date

1 ADVN Advance Payment Goods/service delivered after payment RU-CMPG (Russian Corporate-to-Bank Market Practice Group) New April 2016 22 April 20162 PMNT Delivery versus Payment Goods/service delivered at the same time as payment. RU-CMPG (Russian Corporate-to-Bank Market Practice Group) New April 2016 22 April 20163 TRLN Trade Loan Goods/service delivered before payment RU-CMPG (Russian Corporate-to-Bank Market Practice Group) New April 2016 22 April 2016

Code Name Origin/Requester

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 57-MarketArea - Page: 219 of 241

Doc: document.xls 57-MarketArea Source: ISO 20022.orgEdition: 11 May 2016

ExternalMarketArea1Code

Specifies the market to which the instruction, operation or report relates.

Identification StatusDefinition

Status Status Date Introduced Date1 ANYY Any Any market area New May 2016 11 May 2016

2 CASH Cash Bank to bank cash movements New May 2016 11 May 2016

3 COLL Collections Collections New May 2016 11 May 2016

4 COMM Commodities Precious metals and other commodities such as palm oil New May 2016 11 May 2016

5 COPA Commercial Payments Payment in which one of the parties is not a financial institution New May 2016 11 May 2016

6 DERI Derivatives Futures contracts, options, forward contracts, swaps, etc New May 2016 11 May 2016

7 DOCC Documentary Credits Documentary credits New May 2016 11 May 2016

8 FOEX Foreign Exchange Foreign Exchange New May 2016 11 May 2016

9 GUAR Guarantees Guarantees New May 2016 11 May 2016

10 LETT Letters of Credit Letters of credit New May 2016 11 May 2016

11 LOAN Loans Loans and deposits New May 2016 11 May 2016

12 MMKT Money Markets Loans and deposits New May 2016 11 May 2016

13 NDLF Non Deliverable Forward FX forward trade for which only balance is settled New May 2016 11 May 2016

14 OFFS Offshore Offshore settlement New May 2016 11 May 2016

15 ONSH Onshore Onshore settlement New May 2016 11 May 2016

16 OPTI Options FX Options, swap options, etc New May 2016 11 May 2016

17 SECU Securities Bonds, equities, futures New May 2016 11 May 2016

18 TFIN Trade Finance Documentary credits, collections, guarantees, letters of credit New May 2016 11 May 2016

19 TREA Treasury Cash management activities New May 2016 11 May 2016

Code Name Origin/RequesterStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 58-EffectiveDateParameter - Page: 220 of 241

Doc: document.xls 58-EffectiveDateParameter Source: ISO 20022.orgEdition: 11 May 2016

ExternalEffectiveDateParameter1Code

Specifies how the SSI update effective date is to be applied.

Identification StatusDefinition

Status Status Date Introduced Date2 SETT Settlement Date Relates to the settlement date. New May 2016 11 May 2016

1 TRAD Trade Date Relates to the trade date. New May 2016 11 May 2016

Code Name Origin/RequesterStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 59-SecuritiesPurpose - Page: 221 of 241

Doc: document.xls 59-SecuritiesPurpose Source: ISO 20022.orgEdition: 11 May 2016

ExternalSecuritiesPurpose1Code

Specifies the underlying reason for an SSI instruction.

Identification StatusDefinition

Status Status Date Introduced Date1 COLL Collateral Management Relates to Collateral Management New May 2016 11 May 2016

2 SECL Securities Lending Relates to Securities Lending New May 2016 11 May 2016

3 STMT Settlements Relates to settlements New May 2016 11 May 2016

Code Name Origin/RequesterStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 60-ReceivedReason - Page: 222 of 241

Doc: document.xls 60-ReceivedReason Source: ISO 20022.orgEdition: 11 May 2016

ExternalReceivedReason1Code

Specifies the reason for a received status.

Identification StatusDefinition

Status Status Date Introduced Date1 NSTP NotStraightThroughProcessing New May 2016 11 May 2016

Code Name Origin/RequesterInstruction was not straight through processing and had to be processed manually

Standing Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 61-AcceptedReason - Page: 223 of 241

Doc: document.xls 61-AcceptedReason Source: ISO 20022.orgEdition: 11 May 2016

ExternalAcceptedReason1Code

Specifies the reason for an accepted status.

Identification StatusDefinition

Status Status Date Introduced Date1 ADEA AccountServicerDeadlineMissed Received after the servicer's deadline. Processed on best effort basis New May 2016 11 May 2016

2 NSTP NotStraightThroughProcessing Instruction was not straight through processing and had to be processed manually New May 2016 11 May 2016

3 SMPG MarketPracticeRuleDiscrepency New May 2016 11 May 2016

Code Name Origin/RequesterStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Instruction is accepted but does not comply with the market practice rule published for the concerned market or process

Standing Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 62-PendingProcessingReason - Page: 224 of 241

Doc: document.xls 62-PendingProcessingReason Source: ISO 20022.orgEdition: 11 May 2016

ExternalPendingProcessingReason1Code

Specifies the reason for pending status.

Identification StatusDefinition

Status Status Date Introduced Date1 ADEA ServicerDeadlineMissed Received after the servicer's deadline. Processed on best effort basis New May 2016 11 May 2016

2 DISA NaturalDisaster New May 2016 11 May 2016

3 ESCA Escalation Special follow-up is taking place New May 2016 11 May 2016

4 IAAD StatusReasonInvestigation Pending reason being investigated New May 2016 11 May 2016

5 LPRO LongerProcessing Longer processing timeframe for this type of SSI New May 2016 11 May 2016

6 MINF MissingInformation Information, for example, currency is missing New May 2016 11 May 2016

7 NEWI NewIssues Financial instrument is a new issue and not yet available/tradable New May 2016 11 May 2016

8 NEXT NextProcess Next process is launched. No processing pending problems to be reported New May 2016 11 May 2016

9 NSTP NotStraightThroughProcessing New May 2016 11 May 2016

10 PRSY SystemOnHold Transaction was put on hold/frozen by the system New May 2016 11 May 2016

Code Name Origin/RequesterStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Exceptional closing of all financial institutions due to natural disaster, for example, earthquake

Standing Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Instruction was not straight through processing and had to be processed manually

Standing Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 63-RejectedReason - Page: 225 of 241

Doc: document.xls 63-RejectedReason Source: ISO 20022.orgEdition: 11 May 2016

ExternalRejectedReason1Code

Specifies the reason for a rejected status

Identification StatusDefinition

Status Status Date Introduced Date1 ADEA ServicerDeadlineMissed Received after the servicer's deadline New May 2016 11 May 2016

2 BDAY NotBusinessDay Date is not a business day New May 2016 11 May 2016

3 CTRC ClosingTransaction Unrecognised or invalid client New May 2016 11 May 2016

4 DPRG RejectedSinceInProgress New May 2016 11 May 2016

5 INDT InvalidDetails New May 2016 11 May 2016

6 MISM InvalidRequest New May 2016 11 May 2016

7 NAUT NotAuthorised Permission to be processed is not granted New May 2016 11 May 2016

8 NINS NoInstrument Referred instrument does not exist New May 2016 11 May 2016

9 NOAC NoAccessToService Client has no access to the service New May 2016 11 May 2016

10 TERM ClosingDateTimeRejection Unrecognised or invalid effective date/time New May 2016 11 May 2016

Code Name Origin/RequesterStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Request has been rejected because the instruction process is in progress or has been processed

Standing Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Some message details specified in the instruction/request are inconsistent with those that expected

Standing Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

The request cannot be executed. The message requested is not valid

Standing Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPLStanding Settlement Instructions for Securities, Payments and FX messages - Omgeo/ISITC/FPL

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 64-PaymentTransactionStatus - Page: 226 of 241

Doc: document.xls 64-PaymentTransactionStatus Source: ISO 20022.orgEdition: 05 March 2018

ExternalPaymentTransactionStatus1CodeIdentification Status

DefinitionStatus Status Date Introduced Date

1 ACCC AcceptedSettlementCompleted CR0654/SWIFT New March 2018 March 2018

2 ACCP AcceptedCustomerProfile CR0574/SWIFT New January 2017 8 February 2017

3 ACSC AcceptedSettlementCompleted CR0574/SWIFT New January 2017 8 February 2017

4 ACSP AcceptedSettlementInProcess CR0574/SWIFT New January 2017 8 February 2017

5 ACTC AcceptedTechnicalValidation CR0574/SWIFT New January 2017 8 February 2017

6 ACWC AcceptedWithChange CR0574/SWIFT New January 2017 8 February 2017

7 ACWP AcceptedWithoutPosting CR0653/TCH New May 2017 May 2017

8 PDNG Pending CR0574/SWIFT New January 2017 8 February 2017

9 RCVD Received CR0653/TCH New May 2017 May 2017

10 RJCT Rejected CR0574/SWIFT New January 2017 8 February 2017

Code Name Origin/RequesterSettlement on the creditor's account has been completed.Preceding check of technical validation was successful. Customer profile check was also successful.

Settlement on the debtor's account has been completed.Usage : this can be used by the first agent to report to the debtor that the transaction has been completed. Warning : this status is provided for transaction status reasons, not for financial information. It can only be used after bilateral agreement

All preceding checks such as technical validation and customer profile were successful and therefore the payment initiation has been accepted for execution.Authentication and syntactical and semantical validation are successfulInstruction is accepted but a change will be made, such as date or remittance not sent.Payment instruction included in the credit transfer is accepted without being posted to the creditor customer’s account.Payment initiation or individual transaction included in the payment initiation is pending. Further checks and status update will be performed.Payment initiation has been received by the receiving agent.Payment initiation or individual transaction included in the payment initiation has been rejected.

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 65-PaymentGroupStatus - Page: 227 of 241

Doc: document.xls 65-PaymentGroupStatus Source: ISO 20022.orgEdition: 05 March 2018

ExternalPaymentGroupStatus1CodeIdentification Status

DefinitionStatus Status Date Introduced Date

1 ACCP AcceptedCustomerProfile CR0574/SWIFT New January 2017 8 February 2017

2 ACCC AcceptedSettlementCompleted CR0654/SWIFT New March 2018 March 2018

3 ACSC AcceptedSettlementCompleted CR0574/SWIFT New January 2017 8 February 2017

4 ACSP AcceptedSettlementInProcess CR0574/SWIFT New January 2017 8 February 2017

5 ACTC AcceptedTechnicalValidation CR0574/SWIFT New January 2017 8 February 2017

6 ACWC AcceptedWithChange CR0574/SWIFT New January 2017 8 February 2017

7 PART PartiallyAccepted CR0574/SWIFT New January 2017 8 February 2017

8 PDNG Pending CR0574/SWIFT New January 2017 8 February 2017

9 RCVD Received CR0574/SWIFT New January 2017 8 February 2017

10 RJCT Rejected CR0574/SWIFT New January 2017 8 February 2017

Code Name Origin/RequesterPreceding check of technical validation was successful. Customer profile check was also successful.

Settlement on the creditor's account has been completed.Settlement on the debtor's account has been completed.Usage : this can be used by the first agent to report to the debtor that the transaction has been completed. Warning : this status is provided for transaction status reasons, not for financial information. It can only be used after bilateral agreement

All preceding checks such as technical validation and customer profile were successful and therefore the payment initiation has been accepted for execution.Authentication and syntactical and semantical validation are successfulInstruction is accepted but a change will be made, such as date or remittance not sent.A number of transactions have been accepted, whereas another number of transactions have not yet achieved'accepted' status.

Payment initiation or individual transaction included in the payment initiation is pending. Further checks and status update will be performed.Payment initiation has been received by the receiving agentPayment initiation or individual transaction included in the payment initiation has been rejected.

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 66-CancellationReason - Page: 228 of 241

Doc: document.xls 66-CancellationReason Source: ISO 20022.orgEdition: 30 November 2017

ExternalCancellationReason1CodeIdentification Status

DefinitionStatus Status Date Introduced Date

1 AGNT IncorrectAgent Agent in the payment workflow is incorrect. CR0635/SABS New January 2017 8 February 2017

2 AC03 InvalidCreditorAccountNumber Wrong account number in Credit Transfer. CR0705/EPC New November 2017 November 2017

3 AM09 WrongAmount Amount received is not the amount agreed or expected. CR0705/EPC New November 2017 November 2017

4 CURR IncorrectCurrency CR0635/SABS New January 2017 8 February 2017

5 CUST RequestedByCustomer Cancellation requested by the Debtor. CR0635/SABS New January 2017 8 February 2017

6 CUTA CancelUponUnableToApply CR0635/SABS New January 2017 8 February 2017

7 DS24 TimeOut CR0647/TCH New January 2017 8 February 2017

8 DUPL DuplicatePayment CR0635/SABS New January 2017 8 February 2017

9 FRAD FraudulentOrigin CR0635/SABS New January 2017 8 February 2017

10 FRTR FinalResponse Direct Debit Tracking recalled as Mandate Cancelled CR0635/SABS New January 2017 8 February 2017

11 TECH TechnicalProblem CR0635/SABS New January 2017 8 February 2017

12 UPAY UnduePayment Payment is not justified. CR0635/SABS New January 2017 8 February 2017

Code Name Origin/Requester

Currency of the payment is incorrect.

Cancellation requested because aninvestigation request has been receivedand no remediation is possible.

Cancellation requested because the original payment order expired due to time-out.Payment is a duplicate of anotherpayment.Cancellation requested following atransaction that was originatedfraudulently. The use of theFraudulentOrigin code should begoverned by jurisdictions.

Cancellation requested followingtechnical problems resulting in anerroneous transaction.

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 67-MandateStatus - Page: 229 of 241

Doc: document.xls 67-MandateStatus Source: ISO 20022.orgEdition: 8 February 2017

ExternalMandateStatus1CodeIdentification StatusDefinition Status Status Date Introduced Date

1 ACTV Active The mandate is active. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 20172 CANC Cancelled The mandate is cancelled. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 20173 EXPI Expired The mandate has passed the end date. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 20174 SUSP Suspended The mandate is put on hold. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 2017

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 68-MandateSuspensionReason - Page: 230 of 241

Doc: document.xls 68-MandateSuspensionReason Source: ISO 20022.orgEdition: 8 February 2017

ExternalMandateSuspensionReason1CodeIdentification Status

Definition Status Status Date Introduced Date1 CTAM ContractAmended Mandate suspended due to amendment of the contract. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 20172 CTCA ContractCancellationInitiatedByDebtor Mandate suspended due to cancellation of the contract, requested by the debtor. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 20173 CTEX ContractExpired Mandate suspended due to the contract that expired. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 20174 MCFC MandateSuspendedFinalCollection Mandate suspended as final collection took place. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 20175 MCOC MandateSuspendedOnceOffCollection Mandate suspended as the once off collection took place. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 20176 MSUC MandateSuspended7ConsecutiveUnsuccessfulCollections Mandate suspended after 7 consecutive unsuccessful collections. Payments Mandates - Supplement BJ (RAID: 109) - SWIFT& SABS New January 2017 8 February 2017

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 69-AuthenticationChannel - Page: 231 of 241

Doc: document.xls 69-AuthenticationChannel Source: ISO 20022.orgEdition: 8 February 2017

ExternalAuthenticationChannel1CodeIdentification Status

Definition Status Status Date Introduced Date1 ATMA ATM Authentication provided through ATM CR0576/SABS New January 2017 8 February 20172 CARD Card Authentication provided through Card CR0576/SABS New January 2017 8 February 20173 INBA InternetBanking Authentication provided through Internet Banking CR0576/SABS New January 2017 8 February 20174 MOBI Mobile Authentication provided through Mobile CR0576/SABS New January 2017 8 February 2017

Date of printing: 05/08/2023-19:48:51 ISO 20022 External Code Sets- 70-InvestigationExecutionConf - Page: 232 of 241

Doc: document.xls 70-InvestigationExecutionConf Source: ISO 20022.orgEdition: 05 March 2018

ExternalInvestigationExecutionConfirmation1CodeIdentification Status

Definition Status Status Date Introduced Date1 ACNR AcceptedClaimNonReceipt The claim for non-receipt of a payment instruction is accepted. CR0708/EPC New March 2018 March 20182 RJNR RejectedClaimNonReceipt The claim for non-receipt of a payment instruction is rejected. CR0708/EPC New March 2018 March 20183 ACVA AcceptedValueDateAdjustment The claim for value date correction is accepted. CR0708/EPC New March 2018 March 20184 RJVA RejectedValueDateAdjustment The claim for value date correction is rejected. CR0708/EPC New March 2018 March 20185 CVAA CorrectValueDateAlreadyApplied The original value date was correct. CR0708/EPC New March 2018 March 2018

Date of printing: 05/08/202319:48:51 ISO 20022 External Code Sets- 71-AgentInstruction – Page: 233 of 241

Doc: document.xls 71-AgentInstructionSource: ISO 20022.orgEdition: 05 March 2018

ExternalAgentInstruction1CodeIdentification Status

Definition Status Status Date Introduced Date12345

Date of printing: 05/08/202319:48:51 ISO 20022 External Code Sets- 72-BalanceType – Page: 234 of 241

Doc: document.xls 72-BalanceTypeSource: ISO 20022.orgEdition: 05 March 2018

ExternalBalanceType1CodeIdentification Status

Definition Status Status Date Introduced Date12345

Date of printing: 05/08/202319:48:52 ISO 20022 External Code Sets- 73-ClaimNonReceiptRejection – Page: 235 of 241

Doc: document.xls 73-ClaimNonReceiptRejectionSource: ISO 20022.orgEdition: 05 March 2018

ExternalClaimNonReceiptRejection1CodeIdentification Status

Definition Status Status Date Introduced Date12345

Date of printing: 05/08/202319:48:52 ISO 20022 External Code Sets- 74-CommunicationFormat – Page: 236 of 241

Doc: document.xls 74-CommunicationFormatSource: ISO 20022.orgEdition: 05 March 2018

ExternalCommunicationFormat1CodeIdentification Status

Definition Status Status Date Introduced Date12345

Date of printing: 05/08/202319:48:52 ISO 20022 External Code Sets- 75-CreditLineType – Page: 237 of 241

Doc: document.xls 75-CreditLineTypeSource: ISO 20022.orgEdition: 05 March 2018

ExternalCreditLineType1CodeIdentification Status

Definition Status Status Date Introduced Date12345

Date of printing: 05/08/202319:48:52 ISO 20022 External Code Sets- 76-EntryStatus – Page: 238 of 241

Doc: document.xls 76-EntryStatusSource: ISO 20022.orgEdition: 05 March 2018

ExternalEntryStatus1CodeIdentification Status

Definition Status Status Date Introduced Date12345

Date of printing: 05/08/202319:48:52 ISO 20022 External Code Sets- 77-PaymentCancellationRejection – Page: 239 of 241

Doc: document.xls 77-PaymentCancellationRejectionSource: ISO 20022.orgEdition: 05 March 2018

ExternalPaymentCancellationRejection1CodeIdentification Status

Definition Status Status Date Introduced Date12345

Date of printing: 05/08/202319:48:52 ISO 20022 External Code Sets- 78-PaymentModificationRejection – Page: 240 of 241

Doc: document.xls 78-PaymentModificationRejectionSource: ISO 20022.orgEdition: 05 March 2018

ExternalPaymentModificationRejection1CodeIdentification Status

Definition Status Status Date Introduced Date12345

Date of printing: 05/08/202319:48:52 ISO 20022 External Code Sets- 79-PaymentCompensationReason – Page: 241 of 241

Doc: document.xls 79-PaymentCompensationReasonSource: ISO 20022.orgEdition: 05 March 2018

ExternalPaymentCompensationReason1CodeIdentification Status

Definition Status Status Date Introduced Date12345