D10A
Message D10A/BOPDIR
Direct balance of payment declaration message
The Direct balance of payments declaration message (BOPDIR) can be sent by non-bank residents to report directly to the Balance of Payments (BOP) compiler on: * transactions via bank accounts held at a resident bank * transactions via bank accounts held at a non-resident bank * transactions and clearing via accounts with non-bank non- residents * foreign assets and liabilities * information in the context of a BOP-related survey (stock and flows); for those countries which base their compilation of the Balance of Payments on surveys.
Message description
UNH
M(1) : Message headerA service segment starting and uniquely identifying a message. The message type code for the Direct balance of payment declaration message is BOPDIR. Note: Direct balance of payment declaration messages conforming to this document must contain the following data in segment UNH, composite S009: Data element 0065 BOPDIR 0052 D 0054 10A 0051 UN
BGM
M(1) : Beginning of messageA segment to indicate the type and function of the message and to transmit its identifying number.
DTM
M(9) : Date/time/periodA segment to specify the date and, when required, the time of the creation of the message and optionally to specify other process dates which apply to the whole message.
SG1 C(9) : RFF-DTM
SG2 M(9) : NAD-CTA-COM-FTX
A group of segments to identify the parties associated with the message.
NAD
M(1) : Name and addressA segment to identify the reporting party or to identify the party on behalf of which the declaration is made when the reporting party is a third party.
CTA
C(1) : Contact informationA segment to identify a person or a department for the party to whom communication should be directed.
COM
C(9) : Communication contactA segment to specify a communication number for the party, such as phone number, E-mail address, fax number or X400 address.
FTX
C(99) : Free textA segment to specify complementary information on the party. Part 1: direct reporting of transactions via resident bank accounts. This part of the message specifies the requested information for all the resident bank accounts and for all the accounts held abroad with banks or non-banks and can also be used for reporting about netting operations.
SG3 C(999) : RFF-ATT-FII-NAD-MOA-CUX-SG4
A group of segments to accommodate the details relevant to the transactions performed via one account (or a group of accounts) during the relevant period.
RFF
M(1) : ReferenceA segment identifying each declaration on an account (or group of accounts).
ATT
C(1) : AttributeA segment identifying the type of the reported account.
FII
C(1) : Financial institution informationA segment identifying the resident's financial institution involved or the non-resident financial institution where the resident's external account is held.
NAD
C(99) : Name and addressA segment to identify the name and address of related parties such as the resident, the non-resident non-financial institution where the resident's account is held (group or third party company) or the co-holders of a shared account.
MOA
C(9) : Monetary amountA segment to specify the opening balance or the closing balance of the account for the reported period.
CUX
C(1) : CurrenciesA segment to specify the currency of the reported account.
SG4 M(9999) : RCS-FTX-DTM-FII-NAD-SPR-LOC-SG5-SG6-SG7
A group of segments to specify the details of the set of transactions processed via the financial account.
RCS
M(1) : Requirements and conditionsA segment to specify the reason for the transaction.
FTX
C(99) : Free textA segment to specify information in clear and free form about the reason for the transaction.
DTM
C(9) : Date/time/periodA segment to specify the date of an event related to the transaction, such as processing date, contract date, payment date or settlement date.
FII
C(1) : Financial institution informationA segment to specify the identity of the domestic financial institution related to a specific flow of amount related to the transaction.
NAD
C(9) : Name and addressA segment to specify the identification of the transaction counterpart.
SPR
C(1) : Organisation classification detailsA segment to specify the industrial sector of activity of the transaction counterpart.
LOC
C(9) : Place/location identificationA segment to specify countries related to the transaction, such as the country of origin or destination of goods, the direct investment country, the donation acting country, the payment transaction country (creditor or debtor) or the country in which the construction work is done.
SG5 C(9) : RFF-DTM
A group of segments to specify references and reference dates related to the transaction or to the loan.
RFF
M(1) : ReferenceA segment to specify the reference number of a document related to the transaction.
DTM
C(1) : Date/time/periodA segment to specify the date and time of the reference of the document related to the transaction.
SG6 M(9) : MOA-CUX
A group of segments to specify the transaction amount and any related currencies.
MOA
M(1) : Monetary amountA segment to specify the amount of the transaction and the relevant currency.
CUX
C(1) : CurrenciesA segment to specify the reference currency and the target currency of the transaction when they are different.
SG7 C(1) : GIR-QTY-PRI
A group of segments to specify the details related to transactions on financial securities.
GIR
M(1) : Related identification numbersA segment to identify the type of security (shares, bonds, etc).
QTY
C(1) : QuantityA segment to specify the quantity of the security.
PRI
C(1) : Price detailsA segment to specify the face value of the security.
UNS
M(1) : Section controlA service segment placed at the start of the detail section to avoid collisions. Part 2: direct reporting of transactions via accounts held with non- residents, reporting of BOP-related surveys and of foreign assets and liabilities.
SG8 C(99) : RFF-SG9
A group of segments to accommodate the details relevant either for all types of reporting forms on positions (foreign assets and liabilities) or for all types of BOP related surveys.
RFF
M(1) : ReferenceA segment to specify either the type of reporting form (e.g. on trade credits) or the type of survey.
SG9 M(99) : RCS-FTX-CUX-SG10
A group of segments to specify relevant information either for a type of reporting form on a position (foreign assets and liabilities) or for a type of BOP related survey.
RCS
M(1) : Requirements and conditionsA segment to specify the type of the account or the type of reporting form.
FTX
C(1) : Free textA segment to specify free text information relating to the type of information or report.
CUX
C(1) : CurrenciesA segment to specify the currency of the reported account.
SG10 M(9999) : MOA-NAD-LOC-SG11
A group of segments to specify the amount and other details relevant to the account position or to any related Balance of Payment surveys.
MOA
M(1) : Monetary amountA segment specifying the monetary amount of the position or flow that has been requested.
NAD
C(1) : Name and addressA segment to specify the identification of a party related to the transaction.
LOC
C(1) : Place/location identificationA segment to specify the country of the debtor or creditor.
SG11 C(1) : GIR-QTY-PRI
A group of segments to specify the details related to transactions on financial securities.
GIR
M(1) : Related identification numbersA segment to identify the type of security such as shares or bonds.
QTY
C(1) : QuantityA segment to specify the quantity of the security.
PRI
C(1) : Price detailsA segment to specify the face value of the security.
CNT
C(9) : Control totalA segment to specify total values for control purposes.
UNT
M(1) : Message trailerA service segment ending a message, giving the total number of segments in the message (including the UNH & UNT) and the control reference number of the message.
Message structure
UNH, Message header M 1 BGM, Beginning of message M 1 DTM, Date/time/period M 9 --- Segment Group 1 ------------------------- C 9 -------+ RFF, Reference M 1 | DTM, Date/time/period C 1 | ---- -----------------------------------------------------------+ --- Segment Group 2 ------------------------- M 9 -------+ NAD, Name and address M 1 | CTA, Contact information C 1 | COM, Communication contact C 9 | FTX, Free text C 99 | ---- -----------------------------------------------------------+ --- Segment Group 3 ------------------------- C 999 -------+ RFF, Reference M 1 | ATT, Attribute C 1 | FII, Financial institution information C 1 | NAD, Name and address C 99 | MOA, Monetary amount C 9 | CUX, Currencies C 1 | | --- Segment Group 4 ------------------------- M 9999 ------+| RCS, Requirements and conditions M 1 || FTX, Free text C 99 || DTM, Date/time/period C 9 || FII, Financial institution information C 1 || NAD, Name and address C 9 || SPR, Organisation classification details C 1 || LOC, Place/location identification C 9 || || --- Segment Group 5 ------------------------- C 9 -----+|| RFF, Reference M 1 ||| DTM, Date/time/period C 1 ||| ---- ---------------------------------------------------------+|| || --- Segment Group 6 ------------------------- M 9 -----+|| MOA, Monetary amount M 1 ||| CUX, Currencies C 1 ||| ---- ---------------------------------------------------------+|| || --- Segment Group 7 ------------------------- C 1 -----+|| GIR, Related identification numbers M 1 ||| QTY, Quantity C 1 ||| PRI, Price details C 1 ||| ---- ---------------------------------------------------------+++ UNS, Section control M 1 --- Segment Group 8 ------------------------- C 99 -------+ RFF, Reference M 1 | | --- Segment Group 9 ------------------------- M 99 ------+| RCS, Requirements and conditions M 1 || FTX, Free text C 1 || CUX, Currencies C 1 || || --- Segment Group 10 ------------------------ M 9999 -----+|| MOA, Monetary amount M 1 ||| NAD, Name and address C 1 ||| LOC, Place/location identification C 1 ||| ||| --- Segment Group 11 ------------------------ C 1 ----+||| GIR, Related identification numbers M 1 |||| QTY, Quantity C 1 |||| PRI, Price details C 1 |||| ---- --------------------------------------------------------++++ CNT, Control total C 9 UNT, Message trailer M 1