SSIs: Difference between revisions

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imported>Doug Williamson
(Create the page. Source: MCT Reading Unit 2, 4.3.3 Key aspects in documentation, Sep 2013, page 13.)
 
imported>Doug Williamson
(Expand. Source: UK Money Markets Code: http://www.bankofengland.co.uk/markets/Documents/money/code/ukmoneymarketscode.pdf)
 
(3 intermediate revisions by the same user not shown)
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Standard Settlement Instructions.
Standard Settlement Instructions.


These specify which named bank accounts are to be used for the receipt and payment of any settlement amounts under a bank dealing [[mandate]].


[[Category:Control_and_Reporting]]
1.
 
Instructions that specify which named bank accounts are to be used for the receipt and payment of any settlement amounts, under a bank dealing [[mandate]].
 
 
2.
 
Instructions sent by a principal to its counterparties specifying:
*Who has authority to deal on behalf of the principal;
*Banking and custodian settlement details; and
*Details of back office contacts.
 
 
==See also==
* [[Back office]]
* [[Custodian]]
* [[Mandate]]
* [[Principal]]
* [[Settlement]]
 
[[Category:Compliance_and_audit]]

Latest revision as of 17:35, 25 June 2017

Standard Settlement Instructions.


1.

Instructions that specify which named bank accounts are to be used for the receipt and payment of any settlement amounts, under a bank dealing mandate.


2.

Instructions sent by a principal to its counterparties specifying:

  • Who has authority to deal on behalf of the principal;
  • Banking and custodian settlement details; and
  • Details of back office contacts.


See also