Search results
… System (ACSS) which includes the United States Bulk Exchange application (USBE). This announcement follows PTC’s … in 1984. The transition to Direct Clearer allows PTC to exchange and clear payment items on their own behalf and … deposits and bill payments. The system allows for the exchange of payment items between members of Payments Canada …
… classes including equities and fixed income. Toronto Stock Exchange, TSX Venture Exchange, TSX Alpha Exchange, The Canadian Depository for Securities, Montréal …
Intermember Cheque Exchanges
… Intermember Cheque Exchanges …
… availability, and the impact of the third batch interbank exchange window to clients. The organization’s operating …
… the PAD framework. Rule H1 outlines the procedures for the Exchange for the purpose of Clearing and Settlement of PADs …
… to establish timelines for industry wide adoption of ICP Exchange for forward presentment to add clarification to the …
… at the Financial Consumer Agency of Canada. A compelling exchange of ideas on the Ideas Exchange stage about equity, access and inclusion in transit …
… Bill payment remittances allow FIs and billers to exchange information associated with the payment of a bill. … institutions on the appropriate handling of payment items exchanged, cleared and settled via our payment systems. …
… technology partner. This refresh also includes the US Bulk Exchange (USBE), which runs parallel to the retail system. …
… to be eligible to become direct clearers/group clearers and exchange payment items and make payment entries directly …