Flagge - in französischer SpracheFlagge - in englischer SpracheFlagge - in deutscher Sprache
Icon für die Sektion Praktische Informationen

SWIFT ISO15022 Norm
Detailansicht für Nachricht MT362 - Bestätigung oder Avis einer Zinsanpassung oder Zinszahlung

Icon der App für Finanzakronyme für iOS

Financial acronyms

Die Inhalte der Sektion Akronyme und Abkürzungen von iotafinance.com sind jetzt auch offline verfügbar mit der neuen App für iPhone und iPad.

  Verwendung der Nachricht MT362

Confirms or advises the reset rates of the floating interest rate(s) in a single or cross-currency interest rate derivative transaction and/or the payment of interest at the end of an interest period

  Anwendungsfeld der Nachricht MT362

This message is exchanged by or on behalf of the financial institutions, Party A and Party B, who have agreed to a single or cross currency interest rate derivative transaction, including caps, collars and floors.

This message may be used to:

  • advise the details of the determination of the floating interest rate(s)
  • advise the details of the payment of interest at the end of an interest period
  • cancel a previously sent reset/advice
  • correct errors in a previously sent reset/advice.

  Struktur der Nachricht MT362

Sequenz A - General information  [ obligatorisch, nicht wiederholend ]
No.
Tag
Option
Name
Status
1
15A
 
New Sequence
M
2
20 
 
Sender's Reference
M
3
21 
 
Related Reference
C
4
22A
 
Type of Operation
M
5
94A
 
Scope of Operation
O
6
22C
 
Common Reference
M
7
23A
 
Identification of the Swap
M
8
21N
 
Contract Number Party A
M
9
21B
 
Contract Number Party B
O
10
30V
 
Effective Date
M
11
30P
 
Termination Date
M
12
82a
A
Party A
M
 
 
D
 
 
13
87a
A
Party B
M
 
 
D
 
 
14
83a
A
Fund or Instructing Party
O
 
 
D
 
 
 
 
J
 
 
15
29A
 
Contact Information
O
16
72 
 
Sender to Receiver Information
O
Sequenz B - Interest Rate/Principal Payable by Party B  [ fakultativ, nicht wiederholend ]
No.
Tag
Option
Name
Status
17
15B
 
New Sequence
M
18
33F
 
Calculation Notional Currency and Amount
M
19
30X
 
Period Start Date
M
20
30Q
 
Period End Date
O
21
37G
 
Reset Rate
M
22
37V
 
Cap Rate
C
23
37G
 
Floor Rate
C
24
37R
 
Spread
M
25
37M
 
Total Rate
M
26
30F
 
Payment Date
M
27
32H
 
Currency, Interest Amount
O
28
32E
 
Currency, Principal Exchange Amount
O
29
37N
 
Details of Interest Rate
O
Sequenz C - (Net) Amount(s) Payable by Party B  [ fakultativ, nicht wiederholend ]
No.
Tag
Option
Name
Status
30
15C
 
New Sequence
M
31
18A
 
Number of Repetitions
M
32
30F
 
Payment Date
M
33
32M
 
Currency, Payment Amount
M
34
53a
A
Delivery Agent
O
 
 
D
 
 
35
56a
A
Intermediary
O
 
 
D
 
 
36
86a
A
Second intermediary
C
 
 
D
 
 
37
57a
A
Receiving Agent
M
 
 
D
 
 
Sequenz D - Interest Rate/Principal Payable by Party A  [ fakultativ, nicht wiederholend ]
No.
Tag
Option
Name
Status
38
15D
 
New Sequence
M
39
33F
 
Calculation Notional Currency and Amount
M
40
30X
 
Period Start Date
M
41
30Q
 
Period End Date
O
42
37G
 
Reset Rate
M
43
37V
 
Cap Rate
C
44
37G
 
Floor Rate
C
45
37R
 
Spread
M
46
37M
 
Total Rate
M
47
30F
 
Payment Date
M
48
32H
 
Currency, Interest Amount
O
49
32E
 
Currency, Principal Exchange Amount
O
50
37N
 
Details of Interest Rate
O
Sequenz E - (Net) Amount(s) Payable by Party A  [ fakultativ, nicht wiederholend ]
No.
Tag
Option
Name
Status
51
15E
 
New Sequence
M
52
18A
 
Number of Repetitions
M
53
30F
 
Payment Date
M
54
32M
 
Currency, Payment Amount
M
55
53a
A
Delivery Agent
O
 
 
D
 
 
56
56a
A
Intermediary
O
 
 
D
 
 
57
86a
A
Second intermediary
C
 
 
D
 
 
58
57a
A
Receiving Agent
M
 
 
D