RsltnOfInvstgtn
Mandatory
Assgnmt
Mandatory
RslvdCase
Optional
Sts
Mandatory
CxlDtls
Repetition (0..n)
OrgnlGrpInfAndSts
Optional
OrgnlPmtInfAndSts
Repetition (0..n)
TxInfAndSts
Repetition (0..n)
CxlStsId
Optional
RslvdCase
Optional
OrgnlGrpInf
Optional
OrgnlInstrId
Optional
OrgnlEndToEndId
Optional
OrgnlTxId
Optional
OrgnlClrSysRef
Optional
OrgnlUETR
Optional
TxCxlSts
Optional
CxlStsRsnInf
Repetition (0..n)
RsltnRltdInf
Optional
OrgnlIntrBkSttlmAmt
Optional
Original Interbank Settlement Date
OrgnlIntrBkSttlmDt
Optional
Definition: Date, as provided in the original transaction, 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:
Assgnr
Optional
Assgne
Optional
OrgnlTxRef
Optional
ModDtls
Optional
ClmNonRctDtls
Optional
StmtDtls
Optional
CrrctnTx
Optional
RsltnRltdInf
Optional
SplmtryData
Repetition (0..n)