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SWIFT ISO15022 Norm
Detailansicht für Nachricht MT103.REMIT - Überweisungsauftrag Bank an Kunde

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  Beschreibung der Nachricht MT103.REMIT

The MT 103 REMIT requires registration in the Extended Remittance Information message user group. This message user group allows its subscribers to exchange MT 103 REMIT messages with an extended amount of remittance information in field 77T. This remittance information may optionally be exchanged in a non-SWIFT format, such as EDIFACT or ANSI-X12.

The differences with the core MT 103 are:

  • MT 103 REMIT requires registration in the Extended Remittance Information message user group.
  • The user header (block 3 of the message) must contain the code REMIT in field 119 ({3:{119:REMIT}}).
  • MT 103 REMIT has no field 70 Remittance Information.
  • MT 103 REMIT has a field 77T Envelope Contents for extended remittance information.

  Verwendung der Nachricht MT103.REMIT

Instructs a funds transfer

  Anwendungsfeld der Nachricht MT103.REMIT

This message type is sent by or on behalf of the financial institution of the ordering customer, directly or through (a) correspondent(s), to the financial institution of the beneficiary customer.

It is used to convey a funds transfer instruction in which the ordering customer or the beneficiary customer, or both, are non-financial institutions from the perspective of the Sender.

This message may only be used for clean payment instructions. It must not be used to advise the remitting bank of a payment for a clean, for example, cheque, collection, nor to provide the cover for a transaction whose completion was advised separately, for example, via an MT 400.

  Struktur der Nachricht MT103.REMIT

Nachrichtenfelder
1
20 
 
Sender's Reference
M
2
13C
 
Time Indication
O
3
23B
 
Bank Operation Code
M
4
23E
 
Instruction Code
C
5
26T
 
Transaction Type Code
O
6
32A
 
Value Date/Currency/Interbank Settled Amount
M
7
33B
 
Currency/Instructed Amount
C
8
36 
 
Exchange Rate
C
9
50a
A
Ordering Customer
M
 
 
F
 
 
 
 
K
 
 
10
51A
 
Sending Institution
O
11
52a
A
Ordering Institution
O
 
 
D
 
 
12
53a
A
Sender's Correspondent
C
 
 
B
 
 
 
 
D
 
 
13
54a
A
Receiver's Correspondent
C
 
 
B
 
 
 
 
D
 
 
14
55a
A
Third Reimbursement Institution
C
 
 
B
 
 
 
 
D
 
 
15
56a
A
Intermediary Institution
C
 
 
C
 
 
 
 
D
 
 
16
57a
A
Account With Institution
C
 
 
B
 
 
 
 
C
 
 
 
 
D
 
 
17
59a
 
Beneficiary Customer
M
 
 
A
 
 
 
 
F
 
 
18
71A
 
Details of Charges
M
19
71F
 
Sender's Charges
C
20
71G
 
Receiver's Charges
C
21
72 
 
Sender to Receiver Information
O
22
77B
 
Regulatory Reporting
O
23
77T
 
Envelope Contents
O