Credit Transfers

Proprietary format Reference Code list
pain.001.001.03 ISO20022 Schema: 03

Rulebook: 2009 (Payments - Maintenance)

XC_pain001_V03_ISO20022
pain.001.001.03 SEPA Schema: 03

Rulebook: 8.0 (EPC)

XC_pain001_V03_SEPA
pain.001.001.08 08 XC_pain001_V08_ISO20022
pain.001.001.09 09 XC_pain001_V09_ISO20022
pain.001.001.10 10 XC_pain001_V10_ISO20022

Credit transfers work by enabling customers to send an electronic file to banks. This file provides banks with information that enables them to pay the customer's supplier invoices.

Credit data published by the BOD from the ERP is transformed into a proprietary message to be sent to the bank. Usually, the transfer is made through any of these processes, depending on the bank's requirements:

  • Uploading the file through a portal to the bank
  • Uploading the file to a third party, who will then forward it to the bank
  • Allowing a third party to take the file from a prearranged location

We recommend that you contact your bank for their exact requirements.