3.2.1.9 Parties and Agents - Other Agent Details

This topic explains the Other Details buttons pertaining to each agent under the Parties and Agents tab in the RTGS ISO Outbound FI to FI Customer Credit Transfer Input Detailed screen.

  1. Click the Other Details button to display the corresponding sub-screen with the appropriate heading.

    The Other Details buttons for Instructing Reimbursement Agent, Instructed Reimbursement Agent, Third Reimbursement Agent, Intermediary Agent 1, Intermediary Agent 2, and Intermediary Agent 3 under the Parties and Agents tab open sub-screens with similar fields. The screen header changes based on the button selected.

    The sub-screen is displayed depending on the selected option.

    Figure 3-144 Parties and Agents Tab_Other Details - FIN Postal Address

    Description of Figure 3-144 follows
    Description of "Figure 3-144 Parties and Agents Tab_Other Details - FIN Postal Address"
  2. On the FIN Postal Address tab, specify the fields.
    For more information about the fields, refer to field description table.

    Table 3-124 Parties and Agents Tab - Creditor Agent Details Button - FIN Postal Address Tab - Field Description

    Field Description
    Department Specify the department.
    Sub Department Specify the sub-department.
    Street Name Specify the street name.
    Building Number Specify the building number.
    Building Name Specify the building name.
    Floor Specify the Floor.
    Post Box Specify the post box name.
    Room Specify the Room.
    Post Code Specify the post code.
    Town Name Specify the town name.
    Town Location Name Specify the town location name.
    District Name Specify the district name.
    Country Sub Division Specify the country sub division.
    Country Select the Country from the list of values.
    Address Line 1 Specify the Address Line 1
    Address Line 2 Specify the Address Line 2
    Address Line 3 Specify the Address Line 3
  3. Click the Other Details tab to specify the fields.
    The Other Details are displayed.

    Figure 3-145 Parties and Agents_Other Details - Other Details

    Description of Figure 3-145 follows
    Description of "Figure 3-145 Parties and Agents_Other Details - Other Details"
  4. On the Other Details tab, specify the fields.

    Table 3-125 Parties and Agents_Agent Other Details Button

    Field Description
    Financial Institution Details This section displays the following fields.
    LEI Specify LEI of the agent.
  5. Click the Account Details tab to specify the fields.

    Figure 3-146 Parties and Agents_Other Details - Account Details

    Description of Figure 3-146 follows
    Description of "Figure 3-146 Parties and Agents_Other Details - Account Details"
  6. On the Account Details tab, specify the fields.
    For more information about the fields, refer to field description table.

    Table 3-126 Parties and Agents Tab - Other Debtor Details Button - Account Details Tab - Field Description

    Field Description
    Account Specify the account of the agent.
    IBAN Specify the IBAN.
    Currency Select the currency of the agent from the list of values.
    Account Name Specify the account name of the agent.
    Scheme Name Code Select the Scheme Name Code from the list of values.
    Scheme Name Proprietary Select the Country of Birth from the list of values.
    Issuer Specify the issuer.
    Type Code Select the Type Code from the list of values.
    Type Proprietary Specify the Type Proprietary.
    Proxy Type Code Select the Proxy Type Code from the list of values.
    Proxy Type Proprietary Specify the Proxy Type Proprietary.
    Proxy ID Specify the Proxy ID.

    Note:

    If you enter Type information, you must provide either Type Code or Type Proprietary.

    If you enter Scheme information, you must provide either Scheme Name Code or Scheme Name Proprietary.

    If you enter Proxy information, you must provide either Proxy Type Code or Proxy Type Proprietary.

    If you enter Proxy information, you must provide Proxy ID.