Euroclear Bank testing environment

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Registration form Purpose and action to be taken Use this form to access the for EUCLID and/or. Please complete this form and post it to: Euroclear Bank SA/NV Attention: Client Service Administration 1 Boulevard du Roi Albert II B-1210 Brussels Belgium Participant information Company name: Account number(s): Contact person: Telephone: Fax: e-mail: Start date Indicate the date on which you would like to start testing. You will not be able to input instructions or receive reports before this date. Start date: / / (dd/mm/yyyy) Scope of the testing Euroclear Bank provides testing for settlement, money transfer, custody and collateral management. If, in addition, you wish to test other services mentioned below, please tick the relevant boxes. Euronext Stock Exchange Settlement testing using the Euroclear France BIC SICVFRPP) Bourse de Luxembourg Stock Exchange Settlement testing using the test BIC BACPFRP0) International Order Book Settlement testing using the test BIC ZYGCGB20VTX) SecFinex Settlement testing using the Euroclear France BIC BACPFRP0SBL) Automatic partial settlement of Euronext-related transactions testing Société de Bourse Intermédiaire (SBI) transactions testing RG 2017-05/09 Page 1/7

Input channels Select one or more channel(s) through which you wish to send instructions: EUCLID PC EUCLID Server EUCLID file transfer (on EUCLID PC) Output channels Select the channel through which you wish to receive reports: EUCLID PC EUCLID Server EUCLID file transfer (on EUCLID PC) Identification of securities Indicate whether you wish securities to be identified in your settlement reports by (tick one box only): ISIN Common Code EUCLID To be completed only if you wish to test via EUCLID. Network connection Net BT Infonet BT Radianz Public internet Connection setup If you wish to use EUCLID file transfer, indicate whether you use sequential file names: Yes No If you wish to use EUCLID file transfer via BT Radianz, select your connection mode: File Transfer Protocol CONNECT:Direct IP address: If you wish to use CONNECT:Direct for EUCLID file transfer via BT Radianz, provide the following information: Automatic pushback: Yes No CONNECT:Direct node name: User ID (used to submit jobs on the node): Operating system: page 2/7

EUCLID Smart cards (not required for EUCLID file transfer) State the number of test smart cards you require (maximum 2): State the name and address of the person(s) to whom Euroclear Bank should send the test smart cards (maximum 2): Name 1: Address 1: e-mail 1: Name 2: Address 2: e-mail 2: To be completed only if you wish to test via. BIC information Participant RMA owning (Master) BIC: Participant test correspondent BIC: Branch code (optional) Euroclear Bank BIC: ZYASBEB0 (Owning BIC: MGTCBEBE) RMA exchange Upon validation by Euroclear Bank of the present agreement, Euroclear Bank will send an RMA authorisation to the test BIC of the Participant mentioned above. This authorisation will allow the test BIC of the Participant to send all FIN message types to Euroclear Bank. This authorisation will be immediately active (no start date) and will have no expiry date. We (the above-mentioned Participant) will then send an RMA authorisation to the Euroclear Bank BIC ZYASBEB0 two Business Days after returning this completed registration form to Euroclear Bank. This authorisation will allow Euroclear Bank to send all FIN message types (1) to the test BIC of the Participant. This authorisation will be immediately active (no start date) and will have no expiry date. Indicate a contact person for RMA exchange: Name: Telephone: Fax: e-mail: (1) Authorisation with restrictions on certain message types will not be accepted by Euroclear Bank. page 3/7

Reporting options Reporting of unexecuted securities transaction instructions If you send a cancellation instruction to Euroclear Bank, the feedback you receive depends on your subscription: - feedback on your original instruction (MT 548 with message function INST); - feedback on your cancellation instruction (MT 548 with message function CAST); - feedback on both your original instruction and your cancellation instruction (MT 548 with message function INST and MT 548 with message function CAST); or - no feedback (do not register for MT 548). MT 548, Settlement Status and Processing Advice (with message function INST) For external and Bridge instructions, these messages may contain two or more occurrences of the status and reason sequence Reports on new and updated securities transaction instructions in real time and after each batch processing Frequency at each update of an instruction s status (:25D:); or at each update of an instruction s status (:25D:), reason code (:24B:) or reason narrative (:70D:REAS). status and reason codes (1) + reason narrative (:70D::REAS) or Euroclear Bank reference of the best matching candidate or of the corresponding allegement (:70D::REAS); status and reason codes + Euroclear Bank status or description + reason narrative (:70D::REAS) or Euroclear Bank reference of the best matching candidate or of the corresponding allegement (:70D::REAS); status and reason codes + reason narrative (:70D::REAS) or Euroclear Bank reference of the best matching candidate or of the corresponding allegement (:70D::REAS) + additional instruction narrative (:70E::SPRO); or status and reason codes + Euroclear Bank status or description + reason narrative (:70D::REAS) or Euroclear Bank reference of the best matching candidate or of the corresponding allegement (:70D::REAS) + additional instruction narrative (:70E::SPRO). MT 548, Settlement Status and Processing Advice (with message function INST) With one occurrence of the status sequence Reports on new and updated securities transaction instructions in real time and after each batch processing Frequency at each update of an instruction s status (:25D:), reason code (:24B:) or reason narrative (:70D:REAS). status and reason codes + reason narrative (:70D::REAS) or Euroclear Bank reference of the best matching candidate or of the corresponding allegement (:70D::REAS) + additional instruction narrative (:70E::SPRO). MT 548, Settlement Status and Processing Advice for cancellation (with message function CAST) Status CPRC//CAND (1) status and reason codes are listed in the Statuses section of the EUCLID and data reference manual. page 4/7

MT 578, Settlement Allegement Message New and updated securities transaction instructions in real time MT 537, Statement of Pending Transactions New and updated securities transaction instructions, daily after the end of the real-time process status and reason codes + reason narrative (:70D::REAS) or Euroclear reference of the best matching candidate or of the corresponding allegement (:70D::REAS) status and reason codes + Euroclear status or description (:70D::REAS) + reason narrative (:70D::REAS) or Euroclear reference of the best matching candidate or of the corresponding allegement (:70D::REAS) status and reason codes + reason narrative (:70D::REAS) or Euroclear reference of the best matching candidate or of the corresponding allegement (:70D::REAS) + additional instruction narrative (:70E::TRDE) status and reason codes + Euroclear status or description (:70D::REAS) + reason narrative (:70D::REAS) or Euroclear reference of the best matching candidate or of the corresponding allegement (:70D::REAS) + additional instruction narrative (:70E::TRDE) MT 586, Statement of Settlement Allegements New and updated securities transaction instructions, daily after the end of the real-time process All instructions after: MAT2 (14:00) SET2 the real-time process Reporting of securities and related cash movements MT 536, Statement of Transactions Daily after the end of the real-time process (18:00) Intra-day, after the end of the automatic real-time processing (14:00) All securities and related cash movements: with instruction narrative (:70E::TRDE) without instruction narrative (:70E::TRDE) page 5/7

MT 544-7, Settlement Confirmation Messages New and updated securities transaction instructions, daily after the end of the real-time process Mandatory information including preadvices All information including preadvices Mandatory information excluding preadvices All information excluding preadvices Reporting of balances MT 535, Statement of Holdings Portfolio valuation version (with quotation) Frequency Daily All balances at the end of the real-time process Collateral management messages MT 558, Matching and Processing Statuses Reporting of cash statements MT 999 Opening Cash Position Cash Movements MT 900, Debit Confirmation (in real time) MT 910, Credit Confirmation (in real time) Cash Statement MT 950, Cash Statement, only listing balances in currencies for which cash movements have taken place MT 950, Cash Statement and daily cash balances, including balances in currencies for which no cash movements have taken place MT 950, Cash Statement and monthly cash balances, including balances in currencies for which no cash movements have taken place MT 950, Cash Statement and MT 999 free format (1), only listing balances in currencies for which cash movements have taken place (1) MT 950 shows each cash movement in a Cash Account, specifying the amount and value date, whereas MT 999 gives further details of credits resulting from book transfer instructions, loaded preadvice of funds instructions, bank orders and sundries. page 6/7

Detailed Cash Statement MT 940, Detailed Cash Statement, only listing balances in currencies for which cash movements have taken place MT 940, Detailed Cash Statement and daily cash balances, including balances in currencies for which no cash movements have taken place Authorised signatures Name and title of authorised signatory Authorised signature Name and title of authorised signatory Authorised signature Place Date page 7/7