MT 584 Field Specifications

63. Field 24B: Reason Code

FORMAT

Option B :4!c/[8c]/4!c (Qualifier) (Data Source Scheme) (Reason Code)

PRESENCE

Optional

QUALIFIER

(Error code(s): T89)

Order M/O Qualifier R/N CR Options Qualifier Description
1 O REJT N C9 B Rejection Reason
  or NMAT N C9 B Unmatched Reason
  or NAFI N C9 B Unaffirmed Reason

DEFINITION

This qualified generic field specifies the reason why the instruction identified in the message has the status specified in field 25D Status Code. It specifies:

REJT Reason the related instruction has a processing status rejected.
NMAT Reason the related instruction has a matching status unmatched.
NAFI Reason the related instruction has an affirmation status unaffirmed.

CODES

If Data Source Scheme is not present and Qualifier is REJT, Reason Code must contain the following codes (Error code(s): K24):

BATC Unrecognised or invalid Processing Batch (i.e. daytime/realtime while only possible to settle in overnight batch).
CADE Unrecognised or invalid repurchase call delay.
CAEV The transaction is rejected due to corporate action on the financial instrument instructed.
CASH Unrecognised or invalid cash account.
CASY Impossible standing arrangements override instruction for the cash settlement system.
DDAT Unrecognised or invalid settlement date (i.e. date is not a settlement date for the instructed market, settlement date is too old...).
DDEA Unrecognised or invalid deal price.
DEPT Unrecognised or invalid Place of Settlement.
DMON Unrecognised or invalid settlement amount.
DQUA Unrecognised or invalid settlement quantity.
DSEC Unrecognised or invalid financial instrument identification (i.e. invalid ISIN, security not eligible at the instructed market...).
DTRD Unrecognised or invalid trade date.
FORF Unrecognised or invalid forfeit repurchase amount.
ICAG Unrecognised or invalid receiving or delivering agent.
ICUS Unrecognised or invalid receiving or delivering custodian.
IEXE Unrecognised or invalid buyer or seller.
IIND Unrecognised, invalid or missing Common Reference.
LATE The instruction has been rejected for further processing as your instruction is too late for the settlement date specified.
LEOG Unrecognised or invalid letter of guarantee indicator instructed.
MINO The securities amount is lower than the minimum existing settlement amount for the instructed financial instrument.
MUNO The securities amount is not a multiple of an existing settlement amount available for the instructed financial instrument.
NARR Other (see narrative reason).
NCRR Unrecognised or invalid settlement amount currency.
PHYS Physical settlement is impossible for the instructed financial instrument.
PLCE Unrecognised or invalid place of trade.
REFE The instruction has been rejected because the reference must be unique.
REPA Unrecognised or invalid repurchase amount.
REPO Unrecognised or invalid repurchase rate.
REPP Unrecognised or invalid repurchase premium amount.
TERM Unrecognised or invalid closing date/time.
RERT Unrecognised or invalid repurchase rate type.
RSPR Unrecognised or invalid repurchase spread rate.
RTGS It is not possible to use the RTGS system instructed (NRTG or YRTG).
SAFE Unrecognised or invalid message sender's safekeeping account.
SETR Unrecognised or invalid settlement transaction type (relates to the settlement transaction type codes available for sequence E field 22F, qualifier SETR).
SETS Unrecognised or invalid settlement system/method instructed.
TXST Unrecognised or invalid tax status of the securities instructed.
ULNK The message was not recognised - unknown linked reference.
VASU Unrecognised or invalid variable rate support (repo).

CODES

If Data Source Scheme is not present and Qualifier is NMAT, Reason Code must contain one of the following codes (Error code(s): K24):

CADE Repurchase call delay does not match.
CHAR Charges amount does not match.
CLAT The instruction has not been matched. Counterparty's instruction was too late for matching.
CMIS No potential match has been found.
CPCA Your instruction is unmatched. Your counterparty has cancelled their instruction.
DDAT Settlement date does not match.
DDEA Deal price does not match.
DEAL Deal amount does not match.
DELN The instruction has not been matched; the counterparty expects a delivery from you, not a receipt, or vice versa.
DEPT The instruction has not been matched; the counterparty disagrees with the place of settlement.
DMON Settlement amount does not match.
DQUA Quantity of financial instrument does not match.
DSEC Financial instrument identification does not match (i.e. ISIN differs, Financial Instrument Attributes differs...).
DTRA The instruction has not been matched; the counterparty has been contacted or has contacted us. Counterparty does not recognise the transaction.
DTRD Trade date does not match.
EXEC Executing broker's commission does not match.
FORF Forfeit repurchase amount does not match.
FRAP The instruction is unmatched because the wrong instruction was sent; your instruction is free, counterparty is against payment or vice versa.
ICAG The instruction has not been matched; incorrect delivering or receiving agent. (counterparty is incorrect).
ICUS The instruction has not been matched; incorrect delivering or receiving custodian.
IEXE The instruction has not been matched; incorrect buyer (receiver) or seller (deliverer).
IIND The instruction has not been matched; the counterparty disagrees with the common reference (for markets where a common reference is used as a matching criterion).
LATE The instruction has not been matched. Your instruction was too late for matching.
LEOG The instruction has not been matched, the counterparty is for settlement through L/G, your instruction is not, or vice versa.
MCAN The corresponding matching record has been cancelled.
NARR Other (see narrative reason).
NCRR The instruction has not been matched; the counterparty disagrees with the currency of the settlement amount.
PHYS The instruction has not been matched. The counterparty is for physical settlement, your instruction is not, or vice versa.
PLCE Place of trade does not match.
PODU The instruction has not been matched. It is a possible duplicate instruction.
REGD The instruction has not been matched; there are discrepancies in the registrations details linked to the transaction.
REPA Repurchase amount does not match.
REPO Repurchase rate does not match.
REPP Repurchase premium amount does not match.
TERM Closing date/time does not match.
RERT Repurchase rate type does not match.
RTGS The instruction has not been matched. The counterparty is for RTGS settlement system, you are for non-RTGS, or vice versa.
RSPR Repurchase spread rate does not match.
SAFE Safekeeping Account does not match. The safekeeping account used as matching criteria on the instructed market (buyer/seller's account, direct client's account at the receiving/delivering agent, receiving or delivering agent's account at the CSD) does not match.
SETR Settlement transaction type does not match (relates to the settlement instruction type codes available for sequence E field 22F, qualifier SETR in the original instruction).
SETS The instruction has not been matched; the counterparty disagrees with the settlement system/method instructed (ex: Instruction is to settle using settlement system/method counterparty expects settlement to occur using settlement system/method B).
TXST The instruction has not been matched, because of a disagreement on the tax status of the securities to be settled.
VASU Variable rate support does not match (repo).

CODES

If Data Source Scheme is not present and Qualifier is NAFI, Reason Code must contain the following code (Error code(s): K24):

NAFF Counterparty has not affirmed.