JR/T 0273-2023 Securities company OTC business fund service interface
This document specifies the fund service interface provided by the securities company's over-the-counter fund settlement system for the settlement user's business system, including account business inquiry, fund transfer in and out, fund business inquiry, real-time interface for general response, and document interface for fund end-of-day reconciliation. This document is applicable to the data exchange between the securities company's over-the-counter fund settlement system and the settlement user.