- Generic Wires ISO User Guide
- Generic Wires ISO Outbound Transaction
- SWIFT CBPRPlus Outbound Transaction
- Cross Border Outbound FI Credit Transfer Input
- Other Details Button
Other Details Button
- Click on Other Debtor Details or Other Creditor Details,
respective sub screen is displayed.
The ‘Other Debtor Details’ and ‘Other Creditor Details’ button under ‘Underlying Customer Credit Transfer Details’ tab contains similar fields and sub screen. Depending upon which button you click, the screen header name changes.
Figure 4-72 Underlying Customer Credit Transfer Details_Other Parties_Debtor Details - Postal Address
Description of "Figure 4-72 Underlying Customer Credit Transfer Details_Other Parties_Debtor Details - Postal Address"Postal Address
Specify the following fields available for this screen:- Department
- Sub Department
- Street Name
- Building Number
- Building Name
- Floor
- Post Box
- Room
- Post Code
- Town Name
- Town Location Name
- District Name
- Country Sub Division
- Country
- Address Line 1
- Address Line 2
- Address Line 3
- Click on Identification tab, specify the fields.
Figure 4-73 Underlying Customer Credit Transfer Details_Other Parties_Debtor Details - Identification
Description of "Figure 4-73 Underlying Customer Credit Transfer Details_Other Parties_Debtor Details - Identification"Specify the following fields for Debtor / Creditor. These fields are available under Organisation Identification:- BIC
- LEI
Specify the following fields for Debtor / Creditor. These fields are available under Private Identification:- Birth Date
- Province of Birth
- City of Birth
- Country of Birth
Specify the following fields for Debtor and Creditor. These fields are available under Other Identification Details:- Identification Type
- Identification
- Scheme Name Code
- Issuer
- Click on Account Details tab, specify the fields.
Figure 4-74 Underlying Customer Credit Transfer Details_Other Parties_Debtor Details - Account Details
Description of "Figure 4-74 Underlying Customer Credit Transfer Details_Other Parties_Debtor Details - Account Details"Specify the information into following fields for the agents:- Account Name
- Type Code
- Type Proprietary
- Scheme Name Code
- Scheme Name Proprietary
- Issuer
- Proxy Type Code
- Proxy Type Proprietary
- Proxy ID
Note:
If you input Type information, either input Type Code or Type Proprietary.
If you input Scheme information, either input Schema Name Code or Schema Name Proprietary.
If you input Proxy information, either input Proxy Type Code or Proxy Type Proprietary.
If you input Proxy information, you must input Proxy ID.
Parent topic: Cross Border Outbound FI Credit Transfer Input