To identify a party by type of organization, name and code
To identify a person or office to whom administrative communications should be directed
This standard provides the format and establishes the data contents of the financial information reporting transaction set. This transaction set can be used to report balances, detail and summary financial transactions, and other related account information. It can be used by financial institutions and their agents to report to their clients.
To indicate the start of a transaction set and to assign a control number
To indicate the beginning of a transaction set.
To identify a party by type of organization, name and code
To identify a person or office to whom administrative communications should be directed
To specify account information.
To specify the currency (dollars, pounds, francs, etc.) used in a transaction
To identify the specific monetary balances associated with a particular account.
To specify the details of financial information transactions.
To specify identifying numbers.
To uniquely identify a transaction to an application.
To indicate the funds availability in days.
To indicate the end of the transaction set and provide the count of the transmitted segments (including the beginning (ST) and ending (SE) segments).
Code uniquely identifying a Transaction Set.