Site icon SEPA for Corporates

Simple Guide to the SWIFT MT101 Format

Two of the most popular posts on this blog are the Structure Of A SWIFT Message, Explained and the Difference between a SWIFT ACK and SWIFT NACK. Many of the readers of those posts have asked if i could do something similar detailing the SWIFT MT101 format. In this post, the idea is to give you a quick taster of the SWIFT MT101 format and request that you follow up on the specific details with your target bank. Let’s jump straight into the MT101 format….

What is a SWIFT MT101 Message?

The SWIFT MT101 message is a request for transfer, enabling the electronic transfer of funds from one account to another. Funds are transferred from ordering customers account to a receiving financial institution or account servicing financial institution. For us right now, the important thing to note is that the message format that enables this transfer is the SWIFT MT101 format.

Valid SWIFT MT101 Characters:

The following SWIFT character set is permitted in the SWIFT MT101 message:

a b c d e f g h i j k l m n o p q r s t u v w x y z
A B C D E F G H I J K L M N O P Q R S T U V W X Y Z
0 1 2 3 4 5 6 7 8 9
/ – ? : ( ) . , ‘ + { }
CR LF Space

Keep in mind that the:

SWIFT MT101 Format:

General Information:

Tag 20 – Sender Reference:

Tag 21 – Customer Specified Reference

Tag 28D – Message Index / Total

Tag 50C or 50L – Instructing Party

Tag 50F or 50G or 50H – Ordering Customer

Tag 52A or 52C – Account Servicing Institution

Tag 51A – Sending Institution

Tag 30 – Requested Execution Date

Tag 25 – Authorisation

Transaction Details:

Tag 21 – Transaction Reference

Tag 21F – F/X Deal Reference

Tag 23E – Instruction Code

Tag 32B – Currency / Transaction Amount

Tag 50C or 50L – Instructing Party

Tag 50F or 50G or 50H – Ordering Customer

Tag 52A or 52C – Account Servicing Institution

Tag 56A or 56C or 56D – Intermediary

Tag 57A or 57C or 57D – Account with Institution

Tag 59 or 59A – Beneficiary

Tag 70 – Remittance Information

Tag 77B – Regulatory Reporting

Tag 33B – Currency / Original Ordered Amount

Tag 71A – Details of Charges

Tag 25A – Charges Account

Tag 36 – Exchange Rate

SWIFT MT101 Example:

Following is a simple example of a single MT101 message paying EUR 123.45 from account GB12SEPA12341234123412 at BANKGB01XXX to supplier (James Bond), in his account GB12SEPA12341234123498 at BANKGB02XXX. The remittance information indicates it is a payment for SUPPLIER-INV-REF1

:20:123456789
:28D:1/1
:50H:/GB12SEPA12341234123412
ORDERING CUST NAME
ORDERING CUST ADDR LINE 1
ORDERING CUST ADDR LINE 2
ORDERING CUST ADDR LINE 3
:52A:BANKGB01XXX
:30:160211
:21:11FEB2016INV1
:23E:URGP
:32B:EUR123,45
:57A:BANKGB02XXX
:59:/GB12SEPA12341234123498
JAMES BOND
SUPPLIER ADDR LINE 1
SUPPLIER ADDR LINE 2
SUPPLIER ADDR LINE 3
:70:SUPPLIER-INV-REF1
:77B:/BENEFRES/GB
:71A:SHA
-}

Hope that helps!

 

Exit mobile version