Vous regardez la version française de iotafinance.comSee iotafinance in EnglishIotafinance auf Deutsch sehen
Icone pour la section informations pratiques

Standard SWIFT ISO15022
Vue de détail du message MT575 -

icone de l'application d'acronymes financiers pour iOS

Financial acronyms

Toute la collection d'acronymes de ce site est maintenant également disponible hors ligne avec la nouvelle app Financial acronyms sur iPhone et iPad.

  Utilisation du message MT575

Reports on all securities and cash activity for a given combination of safekeeping and cash accounts

  Scope du message MT575

This message is sent by an account servicer (account servicing institution) to an account owner or its designated agent. The account servicer may be a local agent (sub-custodian) acting on behalf of their global custodian customer, or a custodian acting on behalf of an investment management institution or a broker/dealer.

This message is intended to provide a summary of all cash and securities activity:

  • for a given safekeeping account linked to one cash account (maintaining separate cash sub-accounts by currency), or
  • for a given safekeeping account linked to multiple cash accounts (maintaining separate cash sub-accounts by currency), or
  • for a given cash account (maintaining separate cash sub-accounts by currency) linked to multiple safekeeping accounts.

The transaction activity contained in the report includes all transactions which have been settled or booked to the safekeeping account(s) for a specified period. Booked transactions are those that have been contractually posted (including those that may not have yet settled in the local market) and have affected the portfolios cash position. This report must not include pending transactions in the receivable or payable ledgers nor may it include settled transactions that have a future settlement date; pending transactions are included in the MT 537 Statement of Pending Transactions.

The report lists all activities by currency. So called, 'free' asset movement, for example, dividends in the form of securities, must appear in the free asset movement sequence.

All currencies for which there was an activity must also be reported. When there are no activities to be reported, the activity flag, in sequence A must be used. In sequence B, a separate activity flag can be used per cash account (where multiple cash accounts are linked to one safekeeping account).

The frequency of the report must be bilaterally agreed between the account servicer and the account owner.

The message may be used to respond to a request for statement, that is, the MT 549 Request for Statement/Status Advice.

  Structure du message MT575

Séquence A - General information  [ obligatoire, non répétitive ]
No.
Tag
Option
Nom
Statut
1
16R
 
Start of Block
M
2
28E
 
Page Number/Continuation Indicator
M
3
13A
 
Number Identification: Statement Number
O
4
20C
 
Reference: Sender's Message Reference
M
5
23G
 
Function of the Message
M
6
98a
A
Date/Time: Preparation Date/Time
O
 
 
C
 
 
 
 
E
 
 
7
69a
A
Period: Statement Period
M
 
 
B
 
 
8
22F
 
Indicator
O
Séquence A1 - Linkages  [ facultative, répétitive ]
No.
Tag
Option
Nom
Statut
9
16R
 
Start of Block
M
10
13a
A
Number Identification: Linked Message
O
 
 
B
 
 
11
20C
 
Reference
M
12
16S
 
End of Block
M
13
95a
L
Party
O
 
 
P
 
 
 
 
R
 
 
14
97a
A
Account: Safekeeping Account
O
 
 
B
 
 
15
17B
 
Flag: Activity Flag
M
16
16S
 
End of Block
M
Séquence B - Cash Account Activity  [ facultative, répétitive ]
No.
Tag
Option
Nom
Statut
17
16R
 
Start of Block
M
18
95a
L
Party
O
 
 
P
 
 
 
 
R
 
 
19
97a
A
Account: Cash Account
M
 
 
B
 
 
Séquence B1 - Activity Information Per Currency  [ obligatoire, répétitive ]
No.
Tag
Option
Nom
Statut
20
16R
 
Start of Block
M
21
11A
 
Currency: Currency of Account
M
22
17B
 
Flag: Activity Flag
M
23
93D
 
Balance
M
Séquence B1a - Activity Information Per Transaction  [ facultative, répétitive ]
No.
Tag
Option
Nom
Statut
24
16R
 
Start of Block
M
Séquence B1a1 - Linkages  [ obligatoire, répétitive ]
No.
Tag
Option
Nom
Statut
25
16R
 
Start of Block
M
26
13a
A
Number Identification: Linked Message
O
 
 
B
 
 
27
20C
 
Reference
M
28
16S
 
End of Block
M
Séquence B1a2 - Cash Only Movement Details  [ facultative, non répétitive ]
No.
Tag
Option
Nom
Statut
29
16R
 
Start of Block
M
30
19A
 
Amount: Posting Amount
M
31
36B
 
Quantity of Financial Instrument: Underlying Quantity
O
32
35B
 
Identification of the Financial Instrument
O
33
22a
F
Indicator
M
 
 
H
 
 
34
98a
A
Date/Time: Effective Settlement Date/Time
M
 
 
B
 
 
 
 
C
 
 
35
70E
 
Narrative: Transaction Details Narrative
O
36
16S
 
End of Block
M
Séquence B1a3 - Cash and Securities Movement Details  [ facultative, non répétitive ]
No.
Tag
Option
Nom
Statut
37
16R
 
Start of Block
M
38
97a
A
Account: Safekeeping Account
O
 
 
B
 
 
39
19A
 
Amount
M
40
36B
 
Quantity of Financial Instrument: Posting Quantity
M
41
99A
 
Number Count: Number of Days Accrued
O
42
35B
 
Identification of the Financial Instrument
M
43
22a
F
Indicator
M
 
 
H
 
 
44
98a
A
Date/Time
M
 
 
B
 
 
 
 
C
 
 
45
25D
 
Status Code: Movement Status
O
46
70E
 
Narrative: Transaction Details Narrative
O
47
16S
 
End of Block
M
Séquence B1a4 - Settlement Parties  [ facultative, répétitive ]
No.
Tag
Option
Nom
Statut
48
16R
 
Start of Block
M
49
95a
C
Party
M
 
 
L
 
 
 
 
P
 
 
 
 
Q
 
 
 
 
R
 
 
50
97a
A
Account: Safekeeping Account
C
 
 
B
 
 
51
16S
 
End of Block
M
52
16S
 
End of Block
M
53
16S
 
End of Block
M
54
16S
 
End of Block
M
Séquence C - Free Asset Activity  [ facultative, non répétitive ]
No.
Tag
Option
Nom
Statut
55
16R
 
Start of Block
M
Séquence C1 - Linkages  [ obligatoire, répétitive ]
No.
Tag
Option
Nom
Statut
56
16R
 
Start of Block
M
57
13a
A
Number Identification: Linked Message
O
 
 
B
 
 
58
20C
 
Reference
M
59
16S
 
End of Block
M
Séquence C2 - Transaction Details  [ facultative, non répétitive ]
No.
Tag
Option
Nom
Statut
60
16R
 
Start of Block
M
61
95a
L
Party
O
 
 
P
 
 
 
 
R
 
 
62
97a
A
Account: Safekeeping Account
O
 
 
B
 
 
63
36B
 
Quantity of Financial Instrument: Posting Quantity
M
64
99A
 
Number Count: Number of Days Accrued
O
65
35B
 
Identification of the Financial Instrument
M
66
22a
F
Indicator
M
 
 
H
 
 
67
98a
A
Date/Time
M
 
 
B
 
 
 
 
C
 
 
68
25D
 
Status Code: Movement Status
O
69
70E
 
Narrative: Transaction Details Narrative
O
Séquence C2a - Settlement Parties  [ facultative, répétitive ]
No.
Tag
Option
Nom
Statut
70
16R
 
Start of Block
M
71
95a
C
Party
M
 
 
L
 
 
 
 
P
 
 
 
 
Q
 
 
 
 
R
 
 
72
97a
A
Account: Safekeeping Account
C
 
 
B
 
 
73
16S
 
End of Block
M
74
16S
 
End of Block
M
75
16S
 
End of Block
M
Séquence D - Additional Information  [ facultative, non répétitive ]
No.
Tag
Option
Nom
Statut
76
16R
 
Start of Block
M
77
95a
P
Party
O
 
 
Q
 
 
 
 
R
 
 
78
16S
 
End of Block
M