5.2.9 STP Queue Processing

This topic explains the STP Queue Processing details. On upload of an incoming pacs.008 messages, the following processing is done:

  • Rule created in the Message Queue Derivation Rule (PMDQURLE) is applied.
  • Derive the message queue as STP/Non-STP/Cover based on STP rules maintained in PMDQURLE.
  • Release the STP messages and cover matched messages to payment processor.

Auto Cover Match Processing

The Pacs.009COV and camt.054 inbound messages are sanctions scanned upfront. On successful completion of sanctions screening, the messages are matched with pacs.008 messages pending in STP queue for cover match.

Auto matching considers the following fields value matching between the original payment message and cover message:
  • Instruction Identification of pacs.008 message with End to End Identification of cover message
  • UETR of pacs.008 message with UETR of cover message

If the auto cover match is successful both payment message and cover message is marked as Matched and payment message is released from STP queue for further processing. The payment is sent for Network resolution and forwarded to the resultant payment processor. The credit value date derivation for the payment is based on the credit value basis maintained for the Host in the new preference maintenance PMDCMPRF.

Incoming SWIFT CBPRPlus messages Cover Matching Processing

Table 5-2 Table 1

pacs.008 pacs.009 COV
UETR UETR
Instruction Identification End to End Identification
Interbank Settlement Amount Interbank Settlement Amount
Interbank Settlement Currency Interbank Settlement Currency

Table 5-3 Table 2

pacs.008 camt.054 Remarks
UETR UETR Under Entry Details, Transaction Details, and References Consider only Credit entry details
Instruction Identification Instruction Identification Under Entry Details, Transaction Details, and References Consider only Credit entry details
Interbank Settlement Amount Amount Under Entry Details, Transaction Details, and Amount Consider only Credit entry details
Interbank Settlement Currency Currency Under Entry Details, Transaction Details, and Amount Consider only Credit entry details

Table 5-4 Table 3

pacs.008 camt.054 Remarks
UETR UETR Not Applicable
Instruction Identification Field 21 Related Reference
Interbank Settlement Amount Field 32A Amount
Interbank Settlement Currency Field 32A Currency

Table 5-5 Table 4

pacs.008 MT910 Remarks
UETR UETR If present in MT910, then consider
Instruction Identification Field 21 Related Reference
Interbank Settlement Amount Field 32A Amount
Interbank Settlement Currency Field 32A Currency

Table 5-6 Table 5

pacs.008 Statement Entry (MT or MX) Remarks
Instruction Identification Related Reference Reference for the Account Owner
Interbank Settlement Amount Amount Amount in Statement Browser
Interbank Settlement Currency Currency Currency in Statement Browser
Interbank Settlement Date Value Date Value Date in Statement Browser