T 20.03.a - Critical functions - Payments, Cash, Settlement, Clearing, Custody (I)





Part 1: Economic functionsPart 2: Quantitative dataPart 3: Impact and substitutability analysesPart 4: Criticality assessment
Description of economic functionMarket shareValue of open positionsValue of assets under custodyCross-border valueNumber of clientsNumber of ATMsNature and reachRelevanceMarket structureTimingAbility for substitutionImpact on marketSubstitutabilityCritical function
Value of open positionsValue of assets under custody Size indicator 1 (based on values)Size indicator 2 (based on numbers)Cross border indicatorMarket shareMarket concentrationExpected time for substitutionLegal barriers to market entry or expansionOperational requirements
CodeLabel0010002000400050007000800100011001200130014001500160017001800190020002100220
0009 - Payments, Cash, Settlement, Clearing, Custody
0010Payment services to MFIs417883423821439651439660439669439678439687439696439705439714417998418036417845
0020Payment services to non-MFIs417884423822439652439661439670439679439688439697439706439715417999418037417846
0030Cash services417888428659439653439662439671439680439689439698439707439716418003418041417850
0040Securities settlement services417889423826439654439663439672439681439690439699439708439717418004418042417851
0050CCP clearing services417890429003429002423827439655439664439673439682439691439700439709439718418005418043417852
0060Custody services417898423010423009423834439659439668439677439686439695439704439713439722418013418051417860
0070Other services/activities/functions (1)417817417891429005423004429004423003423828439656439665439674439683439692439701439710439719418006418044417853
0080Other services/activities/functions (2)417819417893429007423006429006423005423830439657439666439675439684439693439702439711439720418008418046417855
0090Other services/activities/functions (3)417821417895429009423008429008423007423832439658439667439676439685439694439703439712439721418010418048417857




Dimensions
MetricDetails the data type (e.g. monetary, percentage, string) of the data point. In XBRL, it is the "primary item". Generally, it indicates the "metrics" of the Main category provided (i.e. answers the question: how is measured?). It should be defined for each data point. In the case of monetary values, when the data point is referred to a (change during a) period of time, the member name shall finish in "(flow)". When the member name has other terminations, the data point is a measurement at a date (i.e. "stock").
Metric - Details the data type (e.g. monetary, percentage, string) of the data point. In XBRL, it is the "primary item". Generally, it indicates the "metrics" of the Main category provided (i.e. answers the question: how is measured?). It should be defined for each data point. In the case of monetary values, when the data point is referred to a (change during a) period of time, the member name shall finish in "(flow)". When the member name has other terminations, the data point is a measurement at a date (i.e. "stock").
BaseDefines the basic conceptual meaning of a data point. Identifies the framework in which a data point is included. For FINREP, it indicates in which group of element of the financial statement should be included the data point (e.g. assets, liabilities, equity, income, expenses). For COREP, it indicates whether the data point should be computed in the numerator (own funds) or the denominator (exposures) of the Pillar I solvency ratio. It determines whether the data point has a "debit" or a "credit" attribute.
Base items - Defines the basic conceptual meaning of a data point. Identifies the framework in which a data point is included. For FINREP, it indicates in which group of element of the financial statement should be included the data point (e.g. assets, liabilities, equity, income, expenses). For COREP, it indicates whether the data point should be computed in the numerator (own funds) or the denominator (exposures) of the Pillar I solvency ratio. It may determine whether the data point has a "debit" or a "credit" attribute.
Main categorySpecifies the nature of the item reported (i.e. answers the question: what is reported?). For financial instruments, defines the instrument (e.g. deposits, debt securities issued...) or range of instruments reported. It should be defined for each data point.
Main category - Specifies the nature of the item reported (i.e. answers the question: what is reported?). For financial instruments, defines the instrument (e.g. deposits, debt securities issued...) or range of instruments reported. It should be defined for each data point.
Counterparty natureSpecifies or constrains the nature of a counterparty, such as whether the counterparty is to be considered a large regulated financial entity according to the CRR or whether the counterparty is a central bank (cf. Counterparty Sector).
Counterparty - Party other than the reporting institution in a contract or transaction.
Residence of counterpartyDefines the geographical area where the counterparty of the contract or transaction resides.
Geographical area - Geographical area
Location of critical function
Geographical area - Geographical area
Type of activityDefines the type of activity (e.g. asset management or custody).
Type of activity - Defines the type of activity reported (e.g. asset management or custody)
Nature of activity
Type of activity - Defines the type of activity reported (e.g. asset management or custody)