4.2.4 "getPeriodicPaymentRequest" interface: Difference between revisions
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|'''psu-id-type''' | |'''psu-id-type''' | ||
|Type of the PSU-ID, needed in scenarios where PSUs have several PSU-IDs as access possibility. | |Type of the PSU-ID, needed in scenarios where PSUs have several PSU-IDs as access possibility. | ||
|- | |||
|'''psu-corporate-id''' | |||
|Identification of a Corporate, only used in a corporate context. | |||
|- | |- | ||
|'''psu-corporate-id-type''' | |'''psu-corporate-id-type''' | ||
| | |This is describing the type of the identification needed by the ASPSP to identify the PSU-Corporate-ID content. | ||
|- | |- | ||
|'''consent-id''' | |'''consent-id''' | ||
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request. | request. | ||
The “digest” Header contains a Hash of the message body. The only hash algorithms that may be used to calculate the digest within the context of this specification are SHA-256 and SHA-512. | The “digest” Header contains a Hash of the message body. The only hash algorithms that may be used to calculate the digest within the context of this specification are SHA-256 and SHA-512. | ||
|- | |- | ||
|'''payment-product''' | |'''payment-product''' | ||
|The addressed payment product endpoint. | |The addressed payment product endpoint. | ||
The value list of products supported is: | The value list of products supported is: <br> | ||
- sepa-credit-transfers<br> | - sepa-credit-transfers<br> | ||
- instant-sepa-credit-transfers<br> | - instant-sepa-credit-transfers<br> | ||
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|- | |- | ||
|'''payment-id''' | |'''payment-id''' | ||
|Resource Identification of the | |Resource Identification of the corresponding payment initiation object. | ||
|} | |} | ||
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<div class="prevpage"> | <div class="prevpage"> | ||
[[4.2.3 "updatePeriodicPaymentResource" interface|<< 4.2.3 "updatePeriodicPaymentResource" interface]] | [[4.2.3 "updatePeriodicPaymentResource" interface|<< 4.2.3 "updatePeriodicPaymentResource" interface]] | ||
</div><div class="nextpage"> | |||
[[4. Payments flow|4. Payments flow >>]] | |||
</div> | </div> |
Latest revision as of 16:53, 14 March 2019
This API returns the content of a payment object.
Input parameters
Attribute | Description |
---|---|
psu-id | The ID of the PSU in the ASPSP client interface. Mandatory if “psu-corporate-id” is valorized. |
psu-id-type | Type of the PSU-ID, needed in scenarios where PSUs have several PSU-IDs as access possibility. |
psu-corporate-id | Identification of a Corporate, only used in a corporate context. |
psu-corporate-id-type | This is describing the type of the identification needed by the ASPSP to identify the PSU-Corporate-ID content. |
consent-id | This data element may be contained, if the payment initiation transaction is part of a session, i.e. combined AIS/PIS service. This then contains the “consentId” of the related AIS consent, which was performed prior to this payment initiation. |
tpp-signature-certificate | This is a X509 certificate that the TPP uses for signing the request, in base64 encoding.
This certificate is in PEM format without the "-----BEGIN CERTIFICATE-----" and "-----END CERTIFICATE-----". Must be contained if a signature is contained, see above. |
signature | A signature of the request by the TPP on application level. This might be mandated by the account servicing payment service provider. |
digest | Is contained if and only if the “Signature” element is contained in the header of the
request. The “digest” Header contains a Hash of the message body. The only hash algorithms that may be used to calculate the digest within the context of this specification are SHA-256 and SHA-512. |
payment-product | The addressed payment product endpoint.
The value list of products supported is: |
payment-id | Resource Identification of the corresponding payment initiation object. |
Output parameters
Attribute | Description |
---|---|
Result Code | Result of the get periodic payment request. |
Error Management | Description of the type of error obtained in the event that the outcome is negative. |
debtorAccount | The account identification which can be used on payload-level to address specific accounts. |
instructedAmount | Transaction amount to be checked within the funds check mechanism. |
creditorAccount | The account identification which can be used on payload-level to address specific accounts. |
transactionStatus | Accepted values:
- ACCP |