RtrTx
Mandatory
MsgHdr
Mandatory
RptOrErr
Mandatory
BizRpt
Choice
PmtCmonInf
Optional
TxsSummry
Optional
TxRpt
Repetition (1..n)
PmtId
Mandatory
TxOrErr
Mandatory
Tx
Choice
PmtTo
Optional
PmtFr
Optional
CdtDbtInd
Optional
Pmt
Optional
MsgId
Optional
ReqdExctnDt
Optional
Sts
Repetition (0..n)
InstdAmt
Optional
IntrBkSttlmAmt
Optional
Purp
Optional
PmtMtd
Optional
Prty
Optional
PrcgVldtyTm
Optional
InstrCpy
Optional
Tp
Optional
GnrtdOrdr
Optional
Optional
Interbank Settlement Date
IntrBkSttlmDt
Optional
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:
EndToEndId
Optional
Pties
Optional
AcctNtry
Optional
SctiesTxRefs
Optional
BizErr
Choice (1..n)
OprlErr
Choice (1..n)
SplmtryData
Repetition (0..n)