Back to Results
First PageMeta Content
Economics / Debit card / Direct debit / Bank / Credit card / Cheque / Payment / Overdraft / Transaction processing / Payment systems / Business / Finance


ISO 20022 – Universal financial industry message scheme
Add to Reading List

Document Date: 2013-05-24 10:24:09


Open Document

File Size: 1,42 MB

Share Result on Facebook

Company

Securities Domain Families Trade / Miscellaneous Securities Operation Cash / The Precious Metal / Warrant Exercise/Warrant Conversion Option / Action & Custody Sub-Family Definition Repurchase / CCP / Nominal Value Securities / ACH Corporate Trade / /

Event

Product Recall / Product Issues / Dividend Issuance / Security Buyback / Reorganization / M&A / Natural Disaster / /

IndustryTerm

bank transaction code sets / bank transaction codes / guaranteed bank cheque / bank account / bank transaction code structure / business to business / custody services / bank notes / bank transaction code / correspondent bank / metal exchanges / electronic network / participant bank / bank transaction code information / syndications management / metal / real estate / metal option instruments / agricultural product / harmonised bank transaction code / bank / account management / adequate processing system / double processing / cash management / bank guarantee / bank-to-customer cash account / /

Organization

Syndicated Cash / distribution Cash / Cheque Deposit Transaction / Clearing and Settlement and Non Settled Sub-Family Definition Pair-Off Clean / Foreign Currency Withdrawal Transaction / Buy Sell Back Cash / Cheques Withdrawal Transaction / Options Transaction / Cash / Currency Deposit Transaction / Treasury Tax and Loan Service / Account Transfer Cash / Option Client Cash / Buy Back Cash / Forwards Client Cash / Withdrawing Plan Cash / Margin Client Cash / Contribution Cash / Trade Service / Savings Plan Cash / Out Cash / Borrowing Cash / Receipt Issue Cash / i.e. / In Cash / Reverse Repo Cash / Equity Mark Client Cash / Collateral Management Cash / Asset Allocation Cash / Claims Cash / Update Cash / Lending Client Cash / Share Exchange Cash / Sub-Families for Collateral Management Sub-Family Definition Margin Payments Cash / Sweep Cash / Action Cash / Corporate Rebate Cash / Move Cash / Switch Cash / Futures Transaction / Corporate Client Cash / Lending Cash / Triparty Reverse Repo Cash / /

Person

Mark Broker Cash / /

Position

collateral Corporate Broker / cashier / broker / lending broker / Lead Manager / collateral Swap Broker / investment manager / option writer at the / correspondent / option writer / Option Broker / collateral Forwards Broker / collateral Lending Broker / /

Product

instruments Foreign Currency / Transaction / operation Cash Deposit Transaction / Sub-Families / currency / operation / travellers’ cheques / Travellers Cheques / Redemption / /

ProgrammingLanguage

XML / /

Technology

XML / computer chip / ATM / /

SocialTag