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MT 537 Field Specifications

19. Field 24B: Reason

FORMAT

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

PRESENCE

Mandatory in optional subsequence B1

QUALIFIER

(Error code(s): T89)

Order M/O Qualifier R/N CR Options Qualifier Description
1 M CAND N C8 B Cancellation Reason
  or CANP N C8 B Pending Cancellation Reason
  or CGEN N C8 B Generated Reason
  or NMAT N C8 B Unmatched Reason
  or PACK N C8 B Acknowledgement Reason
  or PEND N C8 B Pending Reason
  or PENF N C8 B Pending/Failing Reason
  or PPRC N C8 B Pending Processing Reason
  or REPR N C8 B Repair Reason

DEFINITION

This qualified generic field specifies:

CAND Cancellation Reason Specifies the reason why the instruction is cancelled.
CANP Pending Cancellation Reason Specifies the reason why a cancellation request sent for the related instruction is pending.
CGEN Generated Reason Specifies the reason why the transaction was generated.
NMAT Unmatched Reason Specifies the reason why the instruction has an unmatched status.
PACK Acknowledgement 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 Specifies the reason why the instruction has a pending processing status.
REPR Repair Reason Specifies the reason why the instruction is in repair.

CODES

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.
CANS Cancelled By System Instruction has been cancelled by the settlement system.
CSUB Cancelled By Agent Instruction has been cancelled by the agent.
CTHP Cancelled By Third Party Instruction has been cancelled by a third party.
NARR Narrative Reason See narrative field for reason.

CODES

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 Instruction was 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.
INBC Incomplete Number Count Not all the instructions part of a pool have been received.
NARR Narrative Reason See narrative field for reason.

CODES

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.

CODES

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 Instruction was received after the account servicer's deadline. Processed on best effort basis.
CADE Disagreement Transaction Call Delay Transaction call delay 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.
DCMX Disagreement Cum Ex Disagreement if trade was executed cum or ex.
DDAT Disagreement Settlement Date Settlement date/time does not match.
DDEA Disagreement Deal Price Deal price 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.
DMCT Disagreement Automatic Generation Disagreement on automatic generation of market claim or transformation.
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 differs, 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.
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 Instruction was received after market deadline.
LEOG Disagreement Letter of Guarantee Indicator Counterparty is for settlement through Letter of Guarantee (L/G), your instruction is not, or vice versa.
MIME Missing Market Side Details Market side execution details are missing.
NARR Narrative Reason 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 sequence E field 22F, qualifier 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 (repo).
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.

CODES

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 Instruction was received after the account servicer's deadline. Processed on best effort basis.
NARR Narrative Reason See narrative field for reason.
SMPG Market Practice Rule Discrepancy Instruction is accepted but does not comply with the market practice rule published for the concerned market or process.

CODES

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 Instruction was 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.
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.
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 securities 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 for depositary receipts 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 refuses the securities.
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.
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.
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.
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.
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.
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.
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.
YCOL Collateral Shortage Insufficient collateral in your account to execute the instruction.

CODES

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 Instruction was 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 Instruction was received after market deadline.
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 Reason 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.

CODES

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.

CODES

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

BATC Processing Batch Repair Unrecognised or invalid processing batch, that is, daytime/real-time while only possible to settle in overnight batch.
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 Impossible Cash Settlement System Impossible standing arrangements override instruction for the cash settlement system.
DDAT Settlement Date Repair Unrecognised or invalid settlement date.
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.
DTRD Trade Date Repair Unrecognised or invalid trade date.
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.
LEOG Letter of Guarantee Indicator Repair Unrecognised or invalid letter of guarantee indicator instructed.
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.
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 Impossible to use the RTGS system instructed 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.

USAGE RULES

Using of a settlement status/reason alone means that the transaction is matched (if a matching process exists in the concerned market or at the concerned account servicer).

A pending transaction (PEND) becomes a failing transaction (PENF) on the settlement date instructed in the message, during the end of day reporting.