Instruction specifications - Swift ISO 20022 DCP mode - CEU - Belgium (NBB)
In the following tables M=Mandatory; O=Optional.
sese.023 (Securities Settlement Transaction Instruction) DELI with FREE
| O | Common trade reference - <Cmonld> | COMMa | 
| M | Trade date - <TradDt> | Trade Date | 
| O | Cum/Ex indicator - <TradTxCond/Cd> | CCPN or XCPNb | 
| O | Opt-out Iso indicator - <SttlmTxCond/Cd> | NOMCb | 
| O | Partial Settlement indicator - <PrtlSttlmInd> | COEX/PARQ or COEX/PARCc | 
| M | Receiving depository BIC - <Dpstry/Id/AnyBIC> | NBBEBEBB216 | 
| M | Debit account - <QtyAndAcctDtlsSfkpgAcct> | 4-digit account master or 7-digit account in CASCADE | 
| M | Receiving P1 - <AnyBIC> | NBB participant T2S Party BIC11 | 
| O | Receiving P2 – <AnyBIC> | BIC11 of final beneficiary | 
| or | 
 | 
 | 
| O | BUYER P2 – DSS <Prtryld> <Issr>DSS</Issr> | Party 2 DSS (NBBE) | 
Note: Common Trade reference, Opt-out and Ex-trd indicators, P1-BIC11, P1-SAC, P2-BIC11 and P2-SAC will be forwarded as matching relevant information to T2S.
sese.023 (Securities Settlement Transaction Instruction) DELId with APMT and CRDT
| O | Common trade reference - <Cmonld> | COMMa | 
| M | Trade date - <TradDt> | Trade Date | 
| O | Cum/Ex indicator - <TradTxCond/Cd> | CCPN or XCPNb | 
| O | Opt-out Iso indicator - <SttlmTxCond/Cd> | NOMCb | 
| O | Partial Settlement indicator - <PrtlSttlmInd> | COEX/PARQ or COEX/PARCc | 
| M | Receiving depository BIC - <Dpstry/Id/AnyBIC> | NBBEBEBB216 | 
| M | Debit account - <QtyAndAcctDtls SfkpgAcct> | 4-digit account master or 7-digit account in CASCADE | 
| M | Receiving P1 - <AnyBIC> | NBB participant T2S Party BIC11 | 
| O | Receiving P2 – <AnyBIC> | BIC11 of final beneficiary | 
| or | 
 | 
 | 
| O | BUYER P2 – DSS <Prtryld> <Issr>DSS</Issr> | Party 2 DSS (NBBE) | 
| M | Settlement amount - <SttlmAM\AM> | Cash amount (in EUR) e | 
Note: Common Trade reference, Opt-out and Ex-trd indicators, P1-BIC11, P1-SAC, P2-BIC11 and P2-SAC will be forwarded as matching relevant information to T2S.
sese.023 (Securities Settlement Transaction Instruction) RECE with FREE
| O | Common trade reference - <Cmonld> | COMMa | 
| M | Trade date - <TradDt> | Trade Date | 
| O | Cum/Ex indicator - <TradTxCond/Cd> | CCPN or XCPNb | 
| O | Opt-out Iso indicator - <SttlmTxCond/Cd> | NOMCb | 
| O | Partial Settlement indicator - <PrtlSttlmInd> | COEX/PARQ or COEX/PARCc | 
| M | Delivering depository BIC - <Dpstry/Id/AnyBIC> | NBBEBEBB216 | 
| M | Credit account - <QtyAndAcctDtls SfkpgAcct> | 4-digit account master or 7-digit account in CASCADE | 
| M | Delivering P1 - <AnyBIC> | NBB participant T2S Party BIC11 | 
| O | Delivering P2 – <AnyBIC> | BIC11 of final beneficiary | 
| or | 
 | 
 | 
| O | SELLER P2 – DSS <Prtryld> <Issr>DSS</Issr> | Party 2 DSS (NBBE) | 
Note: Common Trade reference, Opt-out and Ex-trd indicators, P1-BIC11, P1-SAC, P2-BIC11 and P2-SAC will be forwarded as matching relevant information to T2S.
sese.023 (Securities Settlement Transaction Instruction) RECEd with APMT and CRDT
| O | Common trade reference - <Cmonld> | COMMa | 
| M | Trade date - <TradDt> | Trade Date | 
| O | Cum/Ex indicator - <TradTxCond/Cd> | CCPN or XCPNb | 
| O | Opt-out Iso indicator - <SttlmTxCond/Cd> | NOMCb | 
| O | Partial Settlement indicator - <PrtlSttlmInd> | COEX/PARQ or COEX/PARCc | 
| M | Delivering depository BIC - <Dpstry/Id/AnyBIC> | NBBEBEBB216 | 
| M | Credit account - <QtyAndAcctDtls SfkpgAcct> | 4-digit account master or 7-digit account in CASCADE | 
| M | Delivering P1 - <AnyBIC> | NBB participant T2S Party BIC11 | 
| O | Delivering P2 – <AnyBIC> | BIC11 of final beneficiary | 
| or | 
 | 
 | 
| O | SELLER P2 – DSS <Prtryld> <Issr>DSS</Issr> | Party 2 DSS (NBBE) | 
| M | Settlement amount - <SttlmAM\AM> | Cash amount (in EUR) e | 
Note: Common Trade reference, Opt-out and Ex-trd indicators, P1-BIC11, P1-SAC, P2-BIC11 and P2-SAC will be forwarded as matching relevant information to T2S.
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a. Optional Matching field.
b. Additional Matching field.
c. Only provide in order to prevent Partial Settlement.
d. The cash delivering party instructs a securities delivery (PFoD RECE) with the securities nominal amount zero.
e. For a Receive with Payment (RwP) instruction, the cash amount is entered with a negative (- sign) prefix.
 
			 
           
          