Transfer of securities from CBL to CBF – Switzerland

19.04.2024

Delivery instruction specifications in CBL

Xact Web Portal

O

Common ID

M

Trade date

Trade date and time

M

Depository Format

BIC

 

Depository Identifier

INSECHZZXXX

 

Receiving parties

 

M

Party 1 Format

Proprietary

 

Party 1 Issuer

SCOM

 

Party 1 Identifier

BPID code

 

Party 1 Safekeeping Account

Not processed

M

Party 2 Format

BIC

 

Party 2 Identifier

BIC assigned to CBF account

 

Party 2 Safekeeping Account

Beneficiary’s CBF account

or

  
 

Party 2 Format

Name

 

Party 2 Identifier

Beneficiary’s name

 

Party 2 Safekeeping Account

Beneficiary’s CBF account

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Seq

O

:20C:

:COMM

//common reference

A1

M

:98a:

:TRAD

//Trade date/time

C

M

:95P:

:PSET

//INSECHZZXXX

E1

M

:95R:

:REAG

/SCOM/Business Partner Identification Number

E1

M

:95P:

:BUYR

//BIC assigned to CBF  account

E1

M

:97A:

:SAFE

//Beneficiary’s CBF account number

E1

Receipt instruction specifications in CBF

No instruction is required to receive securities in CBF.