FIToFIPmtStsRpt
Mandatory
GrpHdr
Mandatory
OrgnlGrpInfAndSts
Repetition (0..n)
TxInfAndSts
Repetition (0..n)
StsId
Optional
OrgnlGrpInf
Optional
OrgnlInstrId
Optional
OrgnlEndToEndId
Optional
OrgnlTxId
Optional
OrgnlUETR
Optional
TxSts
Optional
StsRsnInf
Repetition (0..n)
ChrgsInf
Repetition (0..n)
AccptncDtTm
Optional
PrcgDt
Optional
FctvIntrBkSttlmDt
Optional
AcctSvcrRef
Optional
ClrSysRef
Optional
InstgAgt
Optional
InstdAgt
Optional
OrgnlTxRef
Optional
IntrBkSttlmAmt
Optional
Amt
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:
ReqdColltnDt
Optional
ReqdExctnDt
Optional
CdtrSchmeId
Optional
SttlmInf
Optional
PmtTpInf
Optional
PmtMtd
Optional
MndtRltdInf
Optional
RmtInf
Optional
UltmtDbtr
Optional
Dbtr
Optional
DbtrAcct
Optional
DbtrAgt
Optional
DbtrAgtAcct
Optional
CdtrAgt
Optional
CdtrAgtAcct
Optional
Cdtr
Optional
CdtrAcct
Optional
UltmtCdtr
Optional
Purp
Optional
SplmtryData
Repetition (0..n)
SplmtryData
Repetition (0..n)