Option B | :4!c/[8c]/4!c | (Qualifier)(Data Source Scheme)(Reason Code) |
Optional in optional sequence B
(Error code(s): T89)
Order | M/O | Qualifier | R/N | CR | Options | Qualifier Description |
---|---|---|---|---|---|---|
1 | O | NMAT | R | C3 | B | Unmatched Reason |
2 | O | PEND | R | C3 | B | Pending Reason |
3 | O | PENF | R | C3 | B | Pending/Failing Reason |
4 | O | REJT | R | C3 | B | Rejection Reason |
5 | O | DEND | R | C3 | B | Denied Reason |
6 | O | CAND | R | C3 | B | Cancellation Reason |
7 | O | CANP | R | C3 | B | Pending Cancellation Reason |
8 | O | MOPN | R | C3 | B | Pending Modification Reason |
9 | O | NAFI | R | C3 | B | Unaffirmed Reason |
10 | O | PACK | R | C3 | B | Acknowledged/Accepted Reason |
11 | O | CACK | R | C3 | B | Repo Call Acknowledgement Reason |
12 | O | REPR | R | C3 | B | Repair Reason |
13 | O | PPRC | R | C3 | B | Pending Processing Reason |
14 | O | CGEN | R | C3 | B | Generated Reason |
This qualified generic field specifies:
CACK | Repo Call Acknowledgement Reason | Specifies additional information on the repo call request acknowledgement. |
CAND | Cancellation Reason | Specifies the reason why the related instruction is cancelled, or the related cancellation request is executed. |
CANP | Pending Cancellation Reason | Specifies the reason why the cancellation request is pending. |
CGEN | Generated Reason | Specifies the reason why the transaction was generated. |
DEND | Denied Reason | Specifies the reason why the request was denied. |
MOPN | Pending Modification Reason | Specifies the reason why the modification request is pending. |
NAFI | Unaffirmed Reason | Specifies the reason why the instruction has an unaffirmed status. |
NMAT | Unmatched Reason | Specifies the reason why the instruction has an unmatched status. |
PACK | Acknowledged/Accepted Reason | Specifies additional information about the processed instruction. |
PEND | Pending Reason | Specifies the reason why the instruction has a pending status. |
PENF | Pending/Failing Reason | Specifies the reason why the instruction has a failing settlement status. |
PPRC | Pending Processing Reason | Specifiers the reason why the instruction has a pending processing status. |
REJT | Rejection Reason | Specifies the reason why the instruction/request has a rejected status. |
REPR | Repair Reason | Specifies the reason why the instruction is in repair. |
If Qualifier is NMAT and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
ACRU | Accrued Interest Amount | Accrued interest amount does not match. |
ADEA | Account Servicer Deadline Missed | Received after the account servicer's deadline. Processed on best effort basis. |
CADE | Disagreement Transaction Call Delay | Transaction call delay does not match. |
CHAR | Disagreement Charges Amount | Charges amount does not match. |
CLAT | Counterparty too Late for Matching | Counterparty's instruction was too late for matching. |
CMIS | Matching Instruction Not Found | A matching instruction from your counterparty could not be found. |
CPCA | Counterparty Cancelled Instruction | Counterparty cancelled their instruction. |
DDAT | Disagreement Settlement Date | Settlement date/time does not match. |
DDEA | Deal Price Not Match | Deal price does not match. |
DEAL | Disagreement Deal Amount | Deal amount does not match. |
DELN | Disagreement Direction of Trade | Direction of the trade does not match. Counterparty expects a delivery from you, not a receipt or vice versa. |
DEPT | Disagreement Place of Settlement | Place of settlement does not match. |
DMON | Disagreement Settlement Amount | Settlement amount does not match. |
DQUA | Disagreement Quantity | Quantity of financial instrument does not match. |
DSEC | Disagreement Security | Financial instrument identification does not match, for example, ISIN, financial instrument attributes differs... |
DTRA | Not Recognised | Counterparty has been contacted or contacted us, and does not recognise the transaction. |
DTRD | Disagreement Trade Date | Trade date does not match. |
EXEC | Disagreement Executing Broker's Commission | Executing broker's commission does not match. |
FORF | Disagreement Forfeit Amount | Forfeit amount does not match. |
FRAP | Disagreement Payment Code | Payment type does not match: your instruction is free of payment, your counterparty's instruction is against payment or vice versa. |
ICAG | Incorrect Agent | Delivering or receiving agent (counterparty) does not match. |
ICUS | Disagreement Receiving or Delivering Custodian | Delivering or receiving custodian does not match. |
IEXE | Incorrect Buyer or Seller | Buyer (receiver) or seller (deliverer) does not match. |
IIND | Disagreement Common Reference | Common reference does not match. |
INPS | Disagreement Place of Safekeeping | The place of safekeeping information does not allow matching to take place. |
INVE | Disagreement Investor Party | Investor party does not match. |
LATE | Market Deadline Missed | Your instruction was too late for matching. |
LEOG | Disagreement Letter of Guarantee Indicator | Counterparty is for settlement through Letter of Guarantee (L/G), your instruction is not, or vice versa. |
MCAN | Matching Record Cancelled | Corresponding matching record has been cancelled. |
MIME | Missing Market Side Details | Market side execution details are missing. |
NARR | Narrative | Other details do not match. See narrative for details. |
NCRR | Disagreement Currency Settlement Amount | Settlement amount currency does not match. |
NMAS | No Matching Started | Matching process has not yet started. |
PHYS | Disagreement Physical Settlement | Counterparty's instruction is physical settlement, your instruction is not, or vice versa. |
PLCE | Disagreement Place of Trade | Place of trade does not match. |
PLIS | Disagreement Place of Listing | Place of listing does not match. |
PODU | Possible Duplicate Instruction | Instruction has not been matched. It is a possible duplicate instruction. |
REGD | Disagreement Registration Details | Registration details linked to the transaction are incorrect. |
REPA | Disagreement Termination Transaction Amount | Termination transaction amount does not match. |
REPO | Disagreement Repurchase Rate | Repurchase rate does not match. |
REPP | Disagreement Premium Amount | Premium amount does not match. |
RERT | Disagreement Repurchase Rate Type | Repurchase rate type does not match. |
RTGS | Disagreement RTGS System | Counterparty is for Real Time Gross Settlement (RTGS) system, you are for non-RTGS or vice versa. |
SAFE | Disagreement Safekeeping Account | Safekeeping account used as matching criteria on the market concerned does not match. This includes Buyer/seller's account, direct client's account at the receiving/delivering agent, or receiving/delivering agent's account at the CSD. |
SETR | Disagreement Settlement Transaction | Settlement transaction type does not match (relates to the settlement transaction type codes available for field :22F::SETR). |
SETS | Disagreement Settlement System/Method | Settlement system/method does not match (for example, instruction is to settle using settlement system/method A. Counterparty expects settlement to occur using settlement system/method B). |
TERM | Disagreement Closing Date/Time | Closing date/time does not match. |
TXST | Disagreement Tax Status | Disagreement on the tax status of the financial instruments to be settled. |
UNBR | Unmatched Market Side Details | Market side trade is unmatched. |
VASU | Disagreement Variable Rate Support | Variable rate support does not match (repo). |
If Qualifier is PEND and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
ADEA | Account Servicer Deadline Missed | Received after the account servicer's deadline. Processed on best effort basis. |
AUTH | Sent to Tax Authorities | Tax reclaim has been sent to the tax authorities. |
AWMO | Awaiting Money | Financial instruments are delivered, but still awaiting money from the counterparty. |
AWSH | Awaiting Securities from Counterparty | Financial instruments have not yet been received from the counterparty (if receive against payment trade), the money has been delivered. |
BATC | Processing Batch Difference | Processing batch differs in the counterparty's instruction, for example, daytime/real-time versus overnight. |
BENO | Beneficial Ownership Disagreement | Disagreement in beneficial ownership. |
BLOC | Account Blocked | Your account is blocked, no instruction can settle over the account. |
BOTH | Both Instructions on Hold | Counterparty's instruction and your instruction are on hold/frozen/in a preadvice mode. |
CAIS | Awaiting Securities | Awaiting financial instruments from a corporate action issue or other procedure, for example, conversion, dematerialisation, exchange, registration, stamping, splitting. |
CDLR | Conditional Delivery Awaiting Release | Instruction is in a hold/frozen/preadvice mode - infrastructure platform is awaiting release. |
CERT | Wrong Certificate Numbers | Certificate number error. |
CHAS | Enquiry Sent | A chaser/enquiry has been sent. |
CLAC | Counterparty Insufficient Securities | Insufficient deliverable financial instruments in counterparty's account or counterparty does not hold financial instruments. |
CLHT | Clearing House Trade | Instructed settlement date does not agree with the settlement date on the Clearing House trade, that is, a specific type of trade in India. |
CMON | Counterparty Insufficient Money | Insufficient money in counterparty's account. |
COLL | Securities Pledged as Collateral | Financial instruments are not deliverable as they are pledged as collateral. |
CONF | Confirmation Of Payment | Prior payment credited to account based contractual income collection agreement has been collected from issuer. |
CPEC | Counterparty In Receivership | Counterparty is in receivership (form of bankruptcy where a court appointed person, the receiver, manages the affairs of the business). |
CSDH | CSD Hold | Central securities depository has set the instruction in a hold/frozen/preadvice mode. |
CVAL | CSD Validation | Instruction is in a hold/frozen/preadvice mode as it fulfils predefined conditions of a restriction processing type in the market infrastructure platform. |
CYCL | Awaiting Next Settlement Cycle | Instruction is confirmed in the local market or is ready for settlement, awaiting next settlement cycle. |
DENO | Unavailable Deliverable Denominated Quantity | Quantity instructed does not match the denomination available/deliverable. Physical financial instruments need to be obtained in deliverable denominated quantities. |
DEPO | Refused Deposit for Issue of Depositary Receipts | Deposit of shares for the issuing of depositary receipts has been refused. The allotment granted by the issuer is exceeded by your transaction. |
DISA | Natural Disaster | Exceptional closing of all financial institutions due to natural disaster, for example, earthquake. |
DKNY | Counterparty Returned Shares | Counterparty has returned or refused the financial instruments. |
DOCC | Awaiting Documents/Registration Instruction/Endorsements from Counterparty | Awaiting documents, registration instruction or endorsements from counterparty. |
DOCY | Awaiting Documents/Registration Instruction/Endorsements from You | Awaiting documents, registration instruction or endorsements from you. |
DQUA | Disagreement on Quantity | Unrecognised or invalid instructed quantity. |
FLIM | Maximum Foreign Limit Reached | Insufficient deliverable financial instruments in your account as maximum foreign limit has been reached. |
FROZ | Securities Frozen At CSD | Financial instruments are blocked at the CSD following a corporate event. |
FUTU | Awaiting Settlement Date | Awaiting settlement date. No settlement problems to be reported. |
GLOB | Global Form Securities | Settlement cannot be executed; financial instruments are in global form. |
IAAD | Status Reason Investigation | Pending reason being investigated. |
INBC | Incomplete Number Count | Not all the instructions part of a pool have been received. |
INCA | Income Adjustment Required | Financial instruments require income adjustment, for example, dividend or interest. |
IPNC | Cancel Not Possible | Instruction has been processed and cannot be cancelled. |
LAAW | Awaiting Other Transaction | Awaiting settlement of a purchase to cover failing positions. |
LACK | Lack of Securities | Insufficient financial instruments in your account. |
LALO | Securities are Loaned Out | Financial instruments are out on loan. |
LATE | Market Deadline Missed | Instruction was received after market deadline. |
LINK | Pending Linked Instruction | Your instruction is pending settlement because the instruction linked to it is pending. |
LIQU | Insufficient Central Bank Liquidity | Central Bank Liquidity is insufficient. |
MCER | Missing Certification | Awaiting receipt of adequate certification. |
MINO | Minimum Settlement Quantity | Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MONY | Insufficient Money | Insufficient money in your account and/or credit line is insufficient. |
MUNO | Multiple Settlement Quantity | Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR | Narrative | See narrative field for reason. |
NCON | Confirmation Not Received | Confirmation of settlement has not yet been received. |
NEWI | New Issues | Financial instrument is a new issue and not yet available/tradable. |
NMAS | No Matching Required | Instruction has not been matched; matching process is not required. |
NOFX | No Foreign Exchange Instruction | A foreign exchange instruction from you is missing. |
NPAY | No Payment | Payment has not been made by issuer. |
NSEC | Not Delivered | Financial instruments have not been delivered by the issuer. |
PART | Trade Settles in Partials | Trade will settle in partials. |
PENR | Pending Receipt | The instruction is pending receipt of securities, for example, from a purchase, loan etc. |
PHCK | Physical Securities in Verification Process | Physical financial instruments have been received and are being checked for authenticity. |
PHSE | Physical Delivery Delay | Settlement is physical. Financial instruments are being delivered. |
PRCY | Counterparty Instruction on Hold | Counterparty's instruction is on hold/frozen/in a preadvice mode. |
PREA | Your Instruction on Hold | Your instruction is on hold/frozen/in a preadvice mode. |
PRSY | On Hold by System | The transaction was put on hold by the system. |
REFS | Not In Good Order | Delivery/receipt was refused because physical financial instruments are not in good order. |
REFU | Instruction Refused/Not Recognised | Instruction has been refused or not recognised and is represented automatically. |
REGT | Certificates Rejected | Certificates have been lodged with the registrar but rejected due to incomplete documentation or foreign ownership limitation reached. |
SBLO | Securities Blocked | Financial instruments are blocked due to a corporate action event, realignment, etc. |
SDUT | Lack of Stamp Duty Information | Stamp duty information is missing. |
SETS | Settlement System/Method Modified | Settlement system/method has been modified at CSD to allow settlement. |
TAMM | Trade Amended in Market | Trade is being amended in the market. |
VLDA | Valid for Tax Authorities | For tax reclaim, the event is pending, the tax reclaim is valid for the tax authorities. |
YCOL | Collateral Shortage | Insufficient collateral in your account to execute the instruction. |
If Qualifier is PENF and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
ADEA | Account Servicer Deadline Missed | Received after the account servicer's deadline. Processed on best effort basis. |
AWMO | Awaiting Money | Financial instruments are delivered, but still awaiting money from the counterparty. |
AWSH | Awaiting Securities from Counterparty | Financial instruments have not yet been received from the counterparty (if receive against payment), the money has been delivered. |
BATC | Processing Batch Difference | Processing batch differs in the counterparty's instruction, for example, daytime/real-time versus overnight. |
BENO | Beneficial Ownership Disagreement | Disagreement in beneficial ownership. |
BLOC | Account Blocked | Your account is blocked, no instruction can settle over the account. |
BOTH | Both Instructions on Hold | Counterparty's instruction and your instruction are on hold/frozen/in a preadvice mode. |
BYIY | Buy-in Procedure | A buy-in procedure has started on the market (on your behalf if your instruction is a receipt, by the counterparty if your instruction is a delivery). |
CAIS | Awaiting Securities | Awaiting financial instruments from a corporate action issue or other procedure, for example, conversion, dematerialisation, exchange, registration, stamping, splitting. |
CANR | Cancellation/Confirmation Request | A cancellation or confirmation of instruction is required. |
CDLR | Conditional Delivery Awaiting Release | Instruction is in a hold/frozen/preadvice mode - infrastructure platform is awaiting release. |
CERT | Wrong Certificate Numbers | Certificate number error. |
CHAS | Enquiry Sent | A chaser/enquiry has been sent. |
CLAC | Counterparty Insufficient Securities | Insufficient deliverable financial instruments in counterparty's account or counterparty does not hold financial instruments. |
CLAT | Counterparty too Late for Settlement | Counterparty's instruction was too late for settlement (that is received too late, matching or settlement problems solved too late). |
CLHT | Clearing House Trade | Instructed Settlement date does not agree with the settlement date on the Clearing House trade that is a specific type of trade in India. |
CMON | Counterparty Insufficient Money | Insufficient money in counterparty's account. |
COLL | Securities Pledged as Collateral | Financial instruments are not deliverable as they are pledged as collateral. |
CPEC | Counterparty In Receivership | Counterparty is in receivership (form of bankruptcy where a court appointed person, the receiver, manages the affairs of the business). |
CSDH | CSD Hold | Central securities depository has set the instruction in a hold/frozen/preadvice mode. |
CVAL | CSD Validation | Instruction is in a hold/frozen/preadvice mode as it fulfils predefined conditions of a restriction processing type in the market infrastructure platform. |
CYCL | Awaiting Next Settlement Cycle | Instruction is confirmed in the local market or is ready for settlement, awaiting next settlement cycle. |
DENO | Unavailable Deliverable Denominated Quantity | Quantity instructed does not match the denomination available/deliverable. Physical financial instruments need to be obtained in deliverable denominated quantities. |
DEPO | Refused Deposit for Issue of Depositary Receipts | Deposit of shares for the issuing of depositary receipts has been refused. The allotment granted by the issuer is exceeded by your transaction. |
DISA | Natural Disaster | Exceptional closing of all financial institutions due to natural disaster, for example, typhoon, flooding, earthquake, hurricane. |
DKNY | Counterparty Returned Shares | Counterparty has returned or refused the financial instruments. |
DOCC | Awaiting Documents/Registration Instruction/Endorsements from Counterparty | Awaiting documents, registration instruction or endorsements from counterparty. |
DOCY | Awaiting Documents/Registration Instruction/Endorsements from You | Awaiting documents, registration instruction or endorsements from you. |
FLIM | Maximum Foreign Limit Reached | Insufficient deliverable financial instruments in your account as maximum foreign limit has been reached. |
FROZ | Securities Frozen At CSD | Financial instruments are blocked at the CSD following a corporate event. |
GLOB | Global Form Securities | Settlement cannot be executed; financial instruments are in global form. |
IAAD | Status Reason Investigation | Failing reason being investigated. |
INBC | Incomplete Number Count | Not all the instructions part of a pool have been received. |
INCA | Income Adjustment Required | Financial instruments require income adjustment, for example, dividend or interest. |
LAAW | Awaiting Other Transaction | Awaiting settlement of a purchase to cover failing positions. |
LACK | Lack of Securities | Insufficient deliverable financial instruments in your account. |
LALO | Securities are Loaned Out | Financial instruments are out on loan. |
LATE | Market Deadline Missed | Your instruction is too late for settlement, for example, received too late, matching or settlement problems solved too late. |
LINK | Pending Linked Instruction | A linked instruction is pending/failing. |
LIQU | Insufficient Central Bank Liquidity | Central Bank Liquidity is insufficient. |
MINO | Minimum Settlement Quantity | Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MLAT | Money/Securities too Late for Settlement | Covering money/financial instruments were received too late for completing settlement on a same day basis. |
MONY | Insufficient Money | Insufficient money in your account and/or credit line is insufficient. |
MUNO | Multiple Settlement Quantity | Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR | Narrative | See narrative field for reason. |
NCON | Confirmation Not Received | Confirmation of settlement has not yet been received. |
NEWI | New Issues | Financial instrument is a new issue and not yet available/tradable. |
NOFX | No Foreign Exchange Instruction | A foreign exchange instruction from you is missing. |
OBJT | Under Objection | Financial instruments are stolen, in dispute, under objection etc. |
PART | Trade Settles in Partials | Trade will settle in partials. |
PHCK | Physical Securities in Verification Process | Physical financial instruments have been received and are being checked for authenticity. |
PHSE | Physical Delivery Delay | Settlement is physical. Financial instruments are being delivered. |
PRCY | Counterparty Instruction on Hold | Counterparty's instruction is on hold/frozen/in a preadvice mode. |
PREA | Your Instruction on Hold | Your instruction is on hold/frozen/in a preadvice mode. |
PRSY | On Hold by System | The transaction was put on hold by the system. |
REFS | Not In Good Order | Delivery/receipt was refused because physical financial instruments are not in good order. |
REGT | Certificates Rejected | Certificates have been lodged with the registrar but rejected due to incomplete documentation or foreign ownership limitation reached. |
SBLO | Securities Blocked | Financial instruments are blocked due to a corporate action event, realignment, etc. |
SDUT | Lack of Stamp Duty Information | Stamp duty information is missing. |
SETS | Settlement System/Method Modified | Settlement system/method has been modified at CSD to allow settlement. |
STCD | Confirmation Discrepancy | Discrepancy in the settlement confirmation. |
YCOL | Collateral Shortage | Insufficient collateral in your account to execute the instruction. |
If Qualifier is CGEN and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
CLAI | Market Claim | Transaction has been generated due to a market claim following a corporate action. |
COLL | Collateral Management | Transaction has been generated for collateral management purposes. |
NARR | Narrative Reason | See narrative field for reason. |
RODE | Return of Refused Dump | Transaction has been generated to return a delivery previously instructed. |
SPLI | Split/Shaping | Transaction has been generated to enable settlement following a shortage of position. |
THRD | Third Party | Transaction has been generated by a third party, for example, a central counterparty. |
TRAN | Transformation | Transaction has been generated due to transformation following a corporate action. |
If Qualifier is REJT and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
ADEA | Account Servicer Deadline Missed | Received after the account servicer's deadline. Processed on best effort basis. |
BATC | Processing Batch Rejection | Unrecognised or invalid processing batch, that is, daytime/real-time while only possible to settle in overnight batch. |
BPAR | Business Partner Number Rejection | Unrecognised or invalid Business Partner Number. |
BREF | Bank Reference Number Rejection | Unrecognised or invalid Bank Reference Number. |
BUSE | Type of Order Rejection | Unrecognised or invalid type of order. |
CADE | Transaction Call Delay Rejection | Unrecognised or invalid transaction call delay. |
CAEV | Corporate Action Rejection | Corporate action pending on the financial instrument instructed. |
CANC | Cancelled | Option is not valid; it has been cancelled by the market or service provider, and cannot be responded to. Any responses already processed against this option are considered void and new responses will be required. |
CASH | Cash Account Rejection | Unrecognised or invalid cash account. |
CASY | Impossible Cash Settlement System | Impossible standing arrangements override instruction for the cash settlement system. |
COMC | Commercialisation Contract Rejection | Unrecognised or invalid commercialisation contract. |
CONL | Concentration Limit Exceeded | Concentration limit was exceeded. |
CPTY | Unknown Deal/Exposure | Deal or exposure is unknown. |
DADR | Address Details Rejection | Address details are incorrect or cannot be recognised. |
DCAN | Rejected Since Already Cancelled | Cancellation request was rejected since the instruction has already been cancelled. |
DDAT | Settlement Date Rejection | Unrecognised or invalid settlement date. |
DDEA | Deal Price Rejection | Unrecognised or invalid deal price. |
DEPT | Place of Settlement Rejection | Unrecognised or invalid Place of Settlement. |
DISC | Disagree with Call Amount | Party A does not agree with the call amount. |
DISE | Disagree with Exposure Amount | Party A does not agree with the exposure amount. |
DMON | Settlement Amount Rejection | Unrecognised or invalid settlement amount. |
DORD | Registration Request Data and Order Rejection | Disagreement between the data on the registration request and the order. |
DPRG | Rejected Since In Progress | Cancellation request has been rejected because the instruction process is in progress or has been processed. |
DQUA | Quantity Rejection | Unrecognised or invalid settlement quantity. |
DSEC | Security Rejection | Unrecognised or invalid financial instrument identification. |
DTRD | Trade Date Rejection | Unrecognised or invalid trade date. |
EVNM | Unrecognised Corporate Action Event Number | Unrecognised corporate action event number. |
FEEE | Fee/Commission Rejection | Unrecognised or invalid fee or commission. |
ICAG | Agent Rejection | Unrecognised or invalid receiving or delivering agent. |
ICOL | Insufficient Collateral | Insufficient collateral proposed. |
ICUS | Receiving or Delivering Custodian Rejection | Unrecognised or invalid receiving or delivering custodian. |
IEXE | Buyer or Seller Rejection | Unrecognised or invalid buyer or seller. |
IIND | Common Reference Rejection | Unrecognised, invalid or missing Common Reference. |
INPS | Place of Safekeeping Rejection | Unrecognised, invalid or missing Place of Safekeeping. |
INIR | Instruction Irrevocable | The instruction is irrevocable. |
INNA | Narrative Information Rejection | Unrecognised or invalid SLA agreed narrative information. |
INTV | Inactive | Option is not active and can no longer be responded to. Any responses already processed against this option will remain valid, for example, expired option. |
INVA | Invalid for Tax Authorities | For tax reclaim, the reclaim is invalid for the tax authorities. |
INVB | Balance Rejection | Unrecognised, invalid or missing balance. |
INVE | Investor Party Rejection | Unrecognised or invalid investor party. May be used by an executing party to reject an instruction for an investor (or portfolio) for which it is not authorised to act. |
INVL | Link Rejection | Unrecognised, invalid or missing link. |
INVN | Number Rejection | Unrecognised, invalid or missing lot/sub-balance number. |
LACK | Lack of Securities | Instructed position exceeds the eligible balance. |
LATE | Market Deadline Missed | Instruction was received after market deadline. |
MINO | Minimum Settlement Quantity | Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MLEG | Missing Legal Power | Missing legal power for transfer. |
MUNO | Multiple Settlement Quantity | Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR | Narrative Reason | See narrative field for reason. |
NCRR | Settlement Amount Currency Rejection | Unrecognised or invalid settlement amount currency. |
NMTY | Mismatch Option Number and Option Type | Mismatch between option number and option type. |
NRGM | No Match | Cancellation request has been rejected since more than one instruction match to the cancellation criteria. |
NRGN | Not Found | Cancellation request has been rejected since the instruction could not be found. |
OPNM | Unrecognised Option Number | Unrecognised option number. |
OPTY | Invalid Option Type | Invalid option type. |
OWNT | Type of Ownership Rejection | Type of ownership indicated is not correct. |
PHYS | Physical Settlement Impossible | Physical settlement is impossible for the instructed financial instrument. |
PLCE | Place of Trade Rejection | Unrecognised or invalid place of trade. |
PLIS | Place of Listing Rejection | Unrecognised or invalid place of listing. Used when the security identified is not listed on the market supplied. |
REFE | Reference Rejection | Instruction has a reference identical to another previously received instruction. |
REFT | Refused by the Tax Authorities | Reclaim is refused by the tax authorities. |
REPA | Termination Transaction Amount Rejection | Unrecognised or invalid termination transaction amount. |
REPO | Repurchase Rate Rejection | Unrecognised or invalid repurchase rate. |
REPP | Premium Amount Rejection | Unrecognised or invalid premium amount. |
REQM | Missing Registration Request | Registration request to be completed by the buyer and to be forwarded to the issuer is missing. |
REQW | Wrong Registration Request | Registration request to be completed by the buyer and to be forwarded to the issuer is wrong. You have used the registration request of a different issuer/registrar. |
RREA | Disagreement in registration reason | Registration reason indicated is not correct. |
RTGS | Impossible to use the RTGS system instructed | It is not possible to use the RTGS system instructed (NRTG or YRTG). |
SAFE | Safekeeping Account Rejection | Unrecognised or invalid message sender's safekeeping account. |
SDUT | Lack of Stamp Duty Information | Required stamp duty information is missing. |
SETR | Settlement Transaction Rejection | Unrecognised or invalid settlement transaction type (relates to the settlement transaction type codes available for sequence E field 22F, qualifier SETR). |
SETS | Settlement System/Method Rejection | Unrecognised or invalid settlement system/method instructed. |
SHAR | Shareholder Number Rejection | Unrecognised or invalid Shareholder Number. |
SIGN | Invalid Signature | Registration request does not have a valid signature of the owner of the financial instrument. |
STAM | Not Stamped or Signed | Financial instrument has not been stamped and/or duly signed. |
STAT | Missing Statutes | Missing statutes or commercial register or other legal documents. |
TERM | Closing Date/Time Rejection | Unrecognised or invalid closing date/time. |
TXST | Tax Status Rejection | Unrecognised or invalid tax status of the securities instructed. |
ULNK | Unknown | Linked reference is unknown. |
VALR | Rule Rejection | Account servicer validation rule rejection. |
If Qualifier is DEND and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
If Qualifier is CAND and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
CANI | Cancelled By Yourselves | Instruction has been cancelled as per your request. |
CANO | Cancelled by Another Party | Instruction has been cancelled by another party than the instructing party, for example market infrastructure such as a Stock Exchange. |
CANS | Cancelled By System | Instruction has been cancelled by the settlement system. |
CANT | Cancelled due to Transformation | Original instruction has been cancelled and replaced due to a Corporate Action. |
CANZ | Cancelled due to Split/Partial Settlement | Original instruction has been cancelled and replaced to allow a partial or split settlement. |
CORP | Cancelled Due to Corporate Action | Instruction has been cancelled due to a corporate action. |
CREG | Cancelled by Issuer/Registrar | Instruction has been cancelled by the issuer/registrar. |
CSUB | Cancelled By Agent | Instruction has been cancelled by the agent. |
CTHP | Cancelled By Third Party | Instruction has been cancelled by a third party. |
EXPI | Expired | Instruction has expired. |
NARR | Narrative Reason | See narrative field for reason. |
SCEX | Securities No Longer Eligible | Instruction has been cancelled; the security no longer exists or is no longer eligible on the market instructed. For corporate action-related cancellation, CORP should be used. |
If Qualifier is NAFI and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
NAFF | Not Affirmed | Counterparty has not affirmed. |
If Qualifier is PACK and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
ADEA | Account Servicer Deadline Missed | Received after the account servicer's deadline. Processed on best effort basis. |
LATE | Market Deadline Missed | Instruction was received after market deadline. |
NARR | Narrative Reason | See narrative field for reason. |
NSTP | Not STP | Instruction was not STP and had to be processed manually. |
RQWV | Accepted Without Voting Rights | Instruction registration is accepted but the registration is not in full, that is, not with voting rights. |
SMPG | Market Practice Rule Discrepancy | Instruction is accepted but does not comply with the market practice rule published for the concerned market or process. |
If Qualifier is CANP and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
ADEA | Account Servicer Deadline Missed | Received after the account servicer's deadline. Processed on best effort basis. |
CDAC | Conditional Delivery Cancellation Pending | Conditional Delivery is still pending awaiting the cancellation from at least another party. |
CONF | Awaiting Confirmation | Awaiting confirmation of cancellation from the counterparty. |
DQUA | Disagreement on Quantity | Unrecognised or invalid instructed quantity. |
INBC | Incomplete Number Count | Not all the instructions part of a pool have been received. |
NARR | Narrative Reason | See narrative field for reason. |
If Qualifier is CACK and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
ADEA | Account Servicer Deadline Missed | Received after the account servicer's deadline. Processed on best effort basis. |
CALD | In Process | Repo call is in process. |
CALP | Processed | Repo call is processed. |
If Qualifier is REPR and Data Source Scheme is not present, Reason Code must contain the following code (Error code(s): K24):
ADEA | Account Servicer Deadline Missed | Received after the account servicer's deadline. Processed on best effort basis. |
BATC | Processing Batch Repair | Unrecognised or invalid processing batch, that is, daytime/realtime while only possible to settle in overnight batch. |
BUSE | Type of Order Repair | Unrecognised or invalid type of order. |
CADE | Transaction Call Delay Repair | Unrecognised or invalid transaction call delay. |
CAEV | Corporate Action Repair | Corporate action pending on the financial instrument instructed. |
CASH | Cash Account Repair | Unrecognised or invalid cash account. |
CASY | Cash Settlement System Repair | Impossible standing arrangements override instruction for the cash settlement system. |
COMC | Commercialisation Contract Repair | Unrecognised or invalid commercialisation contract. |
DDAT | Settlement Date Repair | Unrecognised or invalid settlement date (that is date is not a settlement date for the instructed market, settlement date is too old ...). |
DDEA | Deal Price Repair | Unrecognised or invalid deal price. |
DEPT | Place of Settlement Repair | Unrecognised or invalid Place of Settlement. |
DMON | Settlement Amount Repair | Unrecognised or invalid settlement amount. |
DQUA | Quantity Repair | Unrecognised or invalid settlement quantity. |
DSEC | Security Repair | Unrecognised or invalid financial instrument identification (that is invalid ISIN, security not eligible at the instructed market ...). |
DTRD | Trade Date Repair | Unrecognised or invalid trade date. |
FEEE | Fee/Commission Repair | Unrecognised or invalid fee or commission. |
ICAG | Agent Repair | Unrecognised or invalid receiving or delivering agent. |
ICUS | Receiving or Delivering Custodian Repair | Unrecognised or invalid receiving or delivering custodian. |
IEXE | Buyer or Seller Repair | Unrecognised or invalid buyer or seller. |
IIND | Common Reference Repair | Unrecognised, invalid or missing Common Reference. |
INPS | Place of Safekeeping Repair | Unrecognised, invalid or missing Place of Safekeeping. |
INNA | Narrative Information Repair | Unrecognised or invalid SLA agreed narrative information. |
MINO | Minimum Settlement Quantity Repair | Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MUNO | Multiple Settlement Quantity Repair | Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR | Narrative Reason | See narrative field for reason. |
NCRR | Settlement Amount Currency Repair | Unrecognised or invalid settlement amount currency. |
NRGM | No Match | Cancellation request is in repair since more than one instruction match to the cancellation criteria. |
NRGN | Not Found | Cancellation request is in repair since the instruction could not be found. |
PHYS | Physical Settlement Impossible | Physical settlement is impossible for the instructed financial instrument. |
PLCE | Place of Trade Repair | Unrecognised or invalid place of trade. |
REFE | Reference Repair | Instruction has a reference identical to another previously received instruction. |
REPA | Termination Transaction Amount Repair | Unrecognised or invalid termination transaction amount. |
REPO | Repurchase Rate Repair | Unrecognised or invalid repurchase rate. |
REPP | Premium Amount Repair | Unrecognised or invalid premium amount. |
RTGS | RTGS System Repair | Impossible to use the RTGS system instructed (NRTG or YRTG). |
SAFE | Safekeeping Account Repair | Unrecognised or invalid message sender's safekeeping account. |
SDUT | Lack of Stamp Duty Information | Required stamp duty information is missing. |
SETR | Settlement Transaction Repair | Unrecognised or invalid settlement transaction type (relates to the settlement transaction type codes available for sequence E field 22F, qualifier SETR). |
SETS | Settlement System/Method Repair | Unrecognised or invalid settlement system/method instructed. |
TERM | Closing Date/Time Repair | Unrecognised or invalid closing date/time. |
TXST | Tax Status Repair | Unrecognised or invalid tax status of the securities instructed. |
ULNK | Unknown | The message was not recognised - unknown linked reference. |
If Qualifier is PPRC and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
ADEA | Account Servicer Deadline Missed | Instruction was received after the account servicer's deadline. Processed on best effort basis. |
BLOC | Account Blocked | Your account is blocked, no instruction can settle over the account. |
CAIS | Awaiting Securities | Awaiting securities from a corporate action issue or other procedure, for example, conversion, dematerialisation, exchange, registration, stamping, splitting. |
CERT | Wrong Certificate Numbers | Certificate number error. |
COLL | Securities Pledged as Collateral | Securities are not deliverable as they are pledged as collateral. |
DENO | Unavailable Deliverable Denominated Quantity | Quantity instructed does not match the denomination available/deliverable. Physical securities need to be obtained in deliverable denominated quantities. |
DOCY | Awaiting Documents/Registration Instruction/Endorsements from You | Awaiting documents, registration instruction or endorsements from you. |
FLIM | Maximum Foreign Limit Reached | Insufficient deliverable financial instruments in your account as maximum foreign limit has been reached. |
GLOB | Global Form Securities | Settlement cannot be executed; financial instruments are in global form. |
LACK | Lack of Securities | Insufficient financial instruments in your account. |
LALO | Securities are Loaned Out | Financial instruments are out on loan. |
LIQU | Insufficient Central Bank Liquidity | Central Bank Liquidity is insufficient. |
MINO | Minimum Settlement Quantity | Quantity instructed is lower than the minimum existing settlement quantity for the financial instrument. |
MONY | Insufficient Money | Insufficient money in your account and/or credit line is insufficient. |
MUNO | Multiple Settlement Quantity | Quantity instructed is not a multiple of an existing settlement quantity lot for the financial instrument. |
NARR | Narrative Reason | See narrative field for reason. |
NEXT | Next Process | Next Process is launched. No processing pending problems to be reported. |
NOFX | No Foreign Exchange Instruction | A foreign exchange instruction from you is missing. |
YCOL | Collateral Shortage | Insufficient collateral in your account to execute the instruction. |
If Qualifier is MOPN and Data Source Scheme is not present, Reason Code must contain one of the following codes (Error code(s): K24):
CONF | Awaiting Confirmation | Awaiting confirmation of modification from the counterparty or the market. |
NARR | Narrative Reason | See narrative field for reason. |
The reason requested in the MT549 must reason codes available for the message type requested. Ex: STAT reason code (Missing statutes or commercial register or other legal documents) must not be used if the MT549 is a request for an MT548.
A pending transaction (PEND) becomes a failing transaction (PENF) at the settlement date instructed in the message, on the end of day reporting.