Search: Surplus Exchange Settlement Account balances
Sort by:
Relevance
Date
31–40 of
165
search results for Surplus Exchange Settlement Account balances
RBA Glossary definition for Exchange Settlement Account balances
Exchange Settlement Account balances – The sum of balances held in Exchange Settlement Accounts with the Reserve Bank.
RBA Glossary definition for Surplus Exchange Settlement Account balances
Surplus Exchange Settlement Account balances – Exchange Settlement Account balances, excluding balances that account holders keep to meet their after-hours payments in the direct entry system or the New Payments Platform.
RBA Glossary definition for settlement
settlement – The discharge of obligations arising from fund transfers between two or more parties.
RBA Glossary definition for Exchange Settlement Account
Exchange Settlement Account – An account held at the Reserve Bank of Australia by financial institutions to settle financial obligations arising from the clearing of payments.
Search Results
Resilience of the Australian Financial System
6 Oct 2023
FSR
– October 2023
Resilience of the Australian Financial System | Financial Stability Review – October 2023
https://www.rba.gov.au/publications/fsr/2023/oct/australian-financial-system.html
The Australian Financial System
6 Apr 2023
FSR
– April 2023
The Australian Financial System | Financial Stability Review – April 2023
https://www.rba.gov.au/publications/fsr/2023/apr/australian-financial-system.html
Financial Stability Review
15 Nov 2023
FSR
- October 2023
PDF
4631KB
https://www.rba.gov.au/publications/fsr/2023/oct/pdf/financial-stability-review-2023-10.pdf
The Australian High-Value Payments System
19 Apr 2004
FSR
PDF
98KB
At the start of the day, an individual bank’s liquidity is made up of its opening Exchange Settlement account balance which includes any payments made by the Reserve Bank on ... thereafter. In July 1998, immediately after the introduction of RTGS,
https://www.rba.gov.au/publications/fsr/2004/mar/pdf/0304-1.pdf
The Australian Financial System
8 Oct 2021
FSR
– October 2021
Banks have maintained a prudent approach to provisioning to account for additional uncertainty in the current environment, and aggregate provision balances as a share of loans are around 25 per cent ... This has been facilitated by growth in deposits
https://www.rba.gov.au/publications/fsr/2021/oct/australian-financial-system.html
The Australian Financial System
8 Apr 2022
FSR
– April 2022
It also reflected policy measures implemented by the Reserve Bank that increased Exchange Settlement (ES) balances at the Bank. ... assurance program for the replacement of its CHESS clearing and settlement system is fit for purpose.
https://www.rba.gov.au/publications/fsr/2022/apr/australian-financial-system.html
The Australian Financial System
7 Oct 2022
FSR
– October 2022
Some banks have increased their provision overlays to account for the possibility of a larger number of bad debts, leaving provision balances higher than they would be otherwise but still much ... This has reflected banks precautionary behaviour early in
https://www.rba.gov.au/publications/fsr/2022/oct/australian-financial-system.html
The Australian Financial System
9 Oct 2020
FSR
– October 2020
However, the record volumes of equity trades in March did result in processing delays in ASX's CHESS clearing and settlement system. ... RBA (2020), ‘Assessment of the ASX Clearing and Settlement Facilities’, Assessment Report, October.
https://www.rba.gov.au/publications/fsr/2020/oct/australian-financial-system.html
3. Resilience of the Australian Financial System
9 Oct 2023
FSR
- October 2023
PDF
607KB
https://www.rba.gov.au/publications/fsr/2023/oct/pdf/03-australian-financial-system.pdf
Submission to Payments System Review
3 Feb 2021
Submissions
PDF
1155KB
cheques. This submission will not cover the regulation of clearing and settlement facilities. ... products and clearing and settlement facilities. ASIC also administers the ePayments Code, which is.
https://www.rba.gov.au/publications/submissions/payments-system/pdf/submission-to-payments-system-review-01-2021.pdf