10.3.4 MT 646 Payment of Principal and/or of Interest

This topic describes the MT 646 payment of principal and/or of interest message formats.

This message type is sent by the agent of a facility to the providers of funds. It provides advice of payments and/or prepayments of principal and/or payment of interest on the same value date, which are not related to any subsequent drawing or renewal. It specifies (to the Receiver) the amount with respect to principal and/or interest.

Maximum Length: 2000

Table 10-173 Mandatory Sequence A Identification of the Facility

Field Tag Field Name Format Mandatory/Optional
20 Transaction Reference Number 16x M
21 Related Reference 16x O
23 Further Identification 16x M
29A From 4*35x O
29B To the Attention of 4*35x O
88D Borrower(s) [/1!a][/34x]4*35x M
32A Original Facility Amount 6!n3!a15d M
26P Drawing Identification 3!a/4x O

Table 10-174 Mandatory Repetitive Sequence B Interest Calculation

Field Tag Field Name Format Mandatory/Optional
31F Interest Period 6!n[/6!n][//35x] O
33B Computation Base Amount 3!a15d O
34N Interest Amount [N]6!n3!a15d O
37a Interest Rate A, B, C, D, E, or F O
72 Sender to Receiver Information 6*35x O

Table 10-175 Mandatory Sequence C Principal Payment/Sum of Interest Due

Field Tag Field Name Format Mandatory/Optional
32A Total Principal Amount Repaid/Prepaid 6!n3!a15d M
32N Principal Amount Due to Receiver [N]6!n3!a15d O
33N Gross Interest Amount Due to Receiver [N]6!n3!a15d O
34N Net Interest Amount Due to Receiver [N]6!n3!a15d O
34a Total Amount Transferred P or R O
57a Account With Institution A, B, or D O
71C Details of Adjustments 6*35x O
72 Sender to Receiver Information 6*35x O