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… Payments Canada has published Central Bank Digital Currency (CBDC): Retail Considerations , the latest in a series of educational papers on CBDC . This paper … for implementation of a retail CBDC in the Canadian payments environment. A retail CBDC is aimed to take on …
… and Make Life More Affordable , was released yesterday, setting out the Government of Canada’s spending and policy priorities for this year. The … housing, the environment, reconciliation and employment. Payments Canada supports and applauds the government’s plan …
… Automated Clearing Settlement System; a batch total entry system used to … The ACSS calculates multilateral net positions to determine the balances due to and from participants; includes rules and standards that prescribe how payments should be made between direct clearers … ACSS …
… Moncton, New Brunswick is rising through the ranks as a hotbed for Canada’s financial sector. To find out what’s fueling this growth and how payments Modernization will help, we spoke with Richard …
… Derek is Vice President, Payments Systems Operations, at Payments Canada. Derek is a seasoned payment leader, responsible for overseeing the operations of Payments Canada’s retail batch , high …
… Businesses Businesses are seeking faster and more efficient … businesses need access to fast, low-cost and efficient payment methods. The Real-Time Rail processes funds …
… Building on it’s earlier pilot project , Payments Canada is pleased to announce the beta launch of its …
… For general inquiries Tel: 613-238-4173 Fax: 613-233-3385 Email: info@payments.ca For media inquiries Victoria McMullen Director, … Email: vmcmullen@payments.ca Request for speakers Payments Canada is proud to have a team of leading experts that can …
… The Financial institutions file (FIF) is an electronic directory containing routing numbers to facilitate payments to the appropriate deposit-taking institution in Canada. The FIF is updated weekly. Updates include changes …
… Automated Clearing House; centralized architecture that is used to exchange, and reconcile batches of payment items. The process of submitted files vary greatly … settlement before exchange), while others will pull-out individual items for validation, sorting or routing … ACH …