GetTransactionV10camt.005.001.10

Mandatory
Mandatory
Optional
QryTp
Optional
Optional
QryNm
Choice
NewCrit
Choice
NewQryNm
Optional
SchCrit
Repetition (0..n)
PmtTo
Repetition (0..n)
PmtFr
Repetition (0..n)
Optional
Repetition (0..n)
Repetition (0..n)
Repetition (0..n)
Sts
Repetition (0..n)
Repetition (0..n)
Repetition (0..n)
Optional
Repetition (0..n)
Repetition (0..n)
Repetition (0..n)
PmtTp
Repetition (0..n)
Prty
Repetition (0..n)
Repetition (0..n)
Instr
Repetition (0..n)
Repetition (0..n)
UETR
Repetition (0..n)

Interbank Settlement Date

IntrBkSttlmDt
Repetition (0..n)

Definition: Date on which the amount of money ceases to be available to the agent that owes it and when the amount of money becomes available to the agent to which it is due.

Type: ISODate

Restrictions:

    Repetition (0..n)
    Pties
    Optional
    AcctNtrySch
    Optional
    Optional
    RtrCrit
    Optional
    SplmtryData
    Repetition (0..n)
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