en:app:030bsi:040cp:0220cptfee

Settling Charges

Transaction CPTFEE

This transaction is used to settle fees and charges independently from other transactions.

Usually fees and charges are collected and, where applicable, paid to a foreign party, at the time of processing another event for the same contract. However it may happen that a claim for fees from a foreign bank comes at a different time or when no more transactions are to be processed. It may also happens that some of our own fees are to be collected separately, e.g. when they are due periodically, when an incorrect amount was charged or when one forgot to collect them.

Requirements

An existing Clean Payment contract (can be closed).

Transaction Control

Fees

None

Commissions

Results of this Transaction

Diaries

For more information see TRNDIA Diaries.

None

Updating/Storing of Amounts (CBS)

Liability (LIA)

Outgoing Correspondence

Details on creation of messages can be found under DOCEOT Messages.

The required Payment Messages / Rebooking messages for the respective Clearing System will be created.

Release

Source in Transaction

Transaction Panels

Fees



Datafields

Datafield Description
Own Reference cf Appendix A, Table CPD field OWNREF
Currency cf Appendix A, Table CBB field CUR
Nominal Amount cf Appendix A, Table CBB field AMT
Currency cf Appendix A, Table CBB field CUR
Maximum Amount cf Appendix A, Table CBB field AMT
Value Date cf Appendix A, Table CPD field VALDAT
Payment Type cf Appendix A, Table CPD field PAYTYP
Name cf Appendix A, Table PTS field NAM
Reference for Address (Optional) cf Appendix A, Table PTS field REF
Name cf Appendix A, Table PTS field NAM
Reference for Address (Optional) cf Appendix A, Table PTS field REF
Name cf Appendix A, Table PTS field NAM
Reference for Address (Optional) cf Appendix A, Table PTS field REF
Name cf Appendix A, Table PTS field NAM


Compliance




DTAG Fields




en/app/030bsi/040cp/0220cptfee.txt · Last modified: 2024/02/29 12:55 (external edit)