Scope
An account owner sends a SecuritiesFinancingInstruction to a securities financing transaction account servicer to notify the securities financing transaction account servicer of the details of a repurchase agreement, reverse repurchase agreement, securities lending or securities borrowing transaction to allow the account servicer to manage the settlement and follow-up of the opening and closing leg of the transaction. The account owner/servicer relationship may be: - a global custodian which has an account with a local custodian, or - an investment management institution which manage a fund account opened at a custodian, or - a broker which has an account with a custodian, or - a central securities depository participant which has an account with a central securities depository, or - a central securities depository which has an account with a custodian, another central securities depository or another settlement market infrastructure, or - a central counterparty or a stock exchange or a trade matching utility which need to instruct the settlement of securities financing transactions to a central securities depository or another settlement market infrastructure.Usage
The message may also be used to: - re-send a message previously sent, - provide a third party with a copy of a message for information, - re-send to a third party a copy of a message for information using the relevant elements in the Business Application Header.Outline
The SecuritiesFinancingInstructionV13 MessageDefinition is composed of 19 MessageBuildingBlocks:
- Transaction Identification — Unambiguous identification of the transaction as known by the instructing party.
- Transaction Type And Additional Parameters — Securities financing transaction identification information, type (repurchase agreement, reverse repurchase agreement, securities lending or securities borrowing) and other parameters.
- Number Counts — Count of the number of transactions linked.
- Linkages — Link to another transaction that must be processed after, before or at the same time.
- Trade Details — Details of the securities financing deal.
- Financial Instrument Identification — Financial instrument representing a sum of rights of the investor vis-a-vis the issuer.
- Financial Instrument Attributes — Elements characterising a financial instrument.
- Quantity And Account Details — Details related to the account and quantity involved in the transaction.
- Securities Financing Details — Details for the closing of the securities financing transaction.
- Settlement Parameters — Parameters which explicitly state the conditions that must be fulfilled before a particular transaction of a financial instrument can be settled. These parameters are defined by the instructing party in compliance with settlement rules in the market the transaction will settle in.
- Standing Settlement Instruction Details — Specifies what settlement standing instruction database is to be used to derive the settlement parties involved in the transaction.
- Delivering Settlement Parties — Identifies the chain of delivering settlement parties.
- Receiving Settlement Parties — Identifies the chain of receiving settlement parties.
- Cash Parties — Cash parties involved in the transaction if different from the securities settlement parties.
- Opening Settlement Amount — Total amount of money to be paid or received in exchange for the securities at the opening of a securities financing transaction.
- Other Amounts — Other amounts than the settlement amount.
- Digital Payment Settlement — Total quantity of digital asset to be paid or received in exchange for the securities token; or the network fee.
- Other Business Parties — Other business parties relevant to the transaction.
- Supplementary Data — Additional information that cannot be captured in the structured elements and/or any other specific block.
SecuritiesFinancingInstructionV13
SctiesFincgInstr
Mandatory
Type: SecuritiesFinancingInstructionV13
Mandatory
TxTpAndAddtlParams
Mandatory
NbCounts
Optional
Lnkgs
Repetition (0..n)
TradDtls
Mandatory
FinInstrmId
Mandatory
FinInstrmAttrbts
Optional
QtyAndAcctDtls
Mandatory
SctiesFincgDtls
Mandatory
SttlmParams
Optional
StgSttlmInstrDtls
Optional
DlvrgSttlmPties
Optional
RcvgSttlmPties
Optional
CshPties
Optional
OpngSttlmAmt
Optional
OthrAmts
Optional
DgtlPmtSttlm
Repetition (0..2)
OthrBizPties
Optional
SplmtryData
Repetition (0..n)