Layout Version 01. Layout Demand Deposit Accont Statement MT940 English version 4008/Comercialização de Produtos e Serviços

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Transcription:

Layout Version 01 Layout Demand Deposit Accont Statement T940 English version 4008/Comercialização de Produtos e Serviços Elaborated on: 07/07/2017 0

Sumary 1. Layout Description... 2 2. Explanation Notes... 5 2.1 SWIFT Transaction codes... 5 2.2 ISO Codes... 6 1

1. Layout Description essage Type: T940 - Demand Deposit Accont Statement Data Base Operation Field Header Tag 2 Sub-Field Description Format andatory/ SWIFT Standard Formating 12x :20: Statement Reference Number 16x :21: Related Reference 16X O :25: Account Identification 35x Bradesco Format: BBBB0000RRRR0000AAAAAAAD Where: BBBB = Branch number with 4 digits 0000 = Filler ( 0000 ) RRRR = Account Type Identification 0000 = Filler ( 0000 ) AAAAAAA = Account Number with 7 digits D = Account Verifying Digit :28C: Statement Number/Sequence Number 5n/[5n] [/O] :60F: or :60: Opening Balance Debit/Credit ark Debit/Credit ark Sub-field 2 Statement date. Format YYDD Sub-field 3 Code (ISO-currency code) Sub-field 4 Opening Balance 1!a 6!n 3!a 2

Field Sub-Field Description Format andatory/ O :61: Statement Line Formating is as per described on the subfields below. Note: This Statement line can be as recurrent as the number of transactions per day Value Date. Format: YYDD 6!n[4!n]2!a[1!a]15!d1!a3!c16x[//16x] [34x] 6!n Sub-field 2 Entry Date. Format: DD [4!n] O Sub-field 3 Debit/Credit ark 'RC' = Reversal Credit 'RD' = Reversal Debit 'EC' = Expected Credit 'ED' = Expected Debit 2!a Sub-field 4 Funds Code [1!a] O Sub-field 5 15!d Sub-field 6 Transaction Type ID code As per SWIFT Standards 1!a3!c Sub-field 7 Customer Reference 16X Sub-field 8 Bank Reference [//16x] O Sub-field 9 Supplementary Details [34x] O :86: Information to Account Owner (one per statement entry) Up to six text lines with further transactions details. 6*65x O Additional Details Line 1 65x O Additional Details Line 2 65x O Additional Details Line 3 65x O Additional Details Line 4 65x O Additional Details Line 5 65x O Additional Details Line 6 65x O 3

Field :62F: ou :62 Sub-Field Description Format andatory/ Closing Balance Debit/Credit ark Sub-field 2 Sub-field 3 Sub-field 4 Debit/Credit ark Statement date. Format YYDD Code (ISO-currency code) Opening Balance 1!a 6!n 3!a :64: Available Closing Balance Debit/Credit ark Sub-field 2 Sub-field 3 Sub-field 4 Debit/Credit ark Statement date. Format YYDD Code (ISO-currency code) Opening Balance 1!a 6!n 3!a 4

Field Sub-Field Description Format andatory/ :65: Future Closing Balance Debit/Credit ark Sub-field 2 Sub-field 3 Sub-field 4 Debit/Credit ark Statement date. Format YYDD Code (ISO-currency code) Opening Balance 1!a 6!n 3!a :86: Information to Account Owner 6*65x O 2. Explanation Notes 2.1 SWIFT Transaction codes From SWIFT User Handbook November 2008 Used in T940, Field 61, Sub-field 6 When the first character of sub-field 6 Transaction Type Identification Code is N or F, the remaining characters may contain one of the following codes: BNK Securities Related Item - Bank fees BOE Bill of exchange BRF Brokerage fee CAR Securities Related Item - Corporate Actions Related CAS Securities Related Item - Cash in Lieu CHG Charges and other expenses CHK Cheques CLR Cash letters/cheques remittance CI Cash management item - No detail CN Cash management item - Notional pooling CP Compensation claims CS Cash management item - Sweeping CT Cash management item -Topping CZ Cash management item - Zero balancing COL Collections CO Commission CPN Securities Related Item - Coupon payments 5

DCR Documentary credit DDT Direct Debit Item DIS Securities Related Item - Gains disbursement DIV Securities Related Item - Dividends EQA Equivalent amount EXT Securities Related Item - External transfer for own account FEX Foreign exchange INT Interest LBX Lock box LDP Loan deposit AR Securities Related Item - argin payments/receipts AT Securities Related Item - aturity GT Securities Related Item - anagement fees SC iscellaneous NWI Securities Related Item - New issues distribution ODC Overdraft charge OPT Securities Related Item - Options PCH Securities Related Item - Purchase POP Securities Related Item - Pair-off proceeds PRN Securities Related Item - Principal pay-down/pay-up REC Securities Related Item - Tax reclaim RED Securities Related Item - Redemption/Withdrawal RIG Securities Related Item - Rights RTI Returned item SAL Securities Related Item - Sale SEC Securities SLE Securities Related Item - Securities lending related STO Standing order STP Securities Related Item - Stamp duty SUB Securities Related Item - Subscription SWP Securities Related Item - SWAP payment TAX Securities Related Item - Withholding tax payment TCK Travellers cheques TC Securities Related Item - Tripartite collateral management TRA Securities Related Item - Internal transfer for own account TRF Transfer TRN Securities Related Item - Transaction fee UWC Securities Related Item - Underwriting commission VDA Value date adjustment WAR Securities Related Item - Warrant 2.2 ISO Codes Country codes: http://www.iso.org/iso/country_codes.htm codes: www.iso.org/iso/.../currency_codes.htm 6