ValidateFin

camt.052.001.08 — valid intraday report

A valid camt.052 intraday account report — and it is not a small camt.053: the root is BkToCstmrAcctRpt, the container is <Rpt>, and the balances are INTERIM (ITBD booked, ITAV available) rather than the OPBD/CLBD pair of an end-of-day statement. It also carries a pending entry (Sts=PDNG) that is deliberately excluded from the interim balance — pending money is not booked money.

camt.052.001.08 — Valid

A valid camt.052 intraday account report — and it is not a small camt.053: the root is BkToCstmrAcctRpt, the container is <Rpt>, and the balances are INTERIM (ITBD booked, ITAV available) rather than the OPBD/CLBD pair of an end-of-day statement. It also carries a pending entry (Sts=PDNG) that is deliberately excluded from the interim balance — pending money is not booked money.

Bank statement (camt.052 / 053 / 054) camt.052.001.08 ISO 20022Expected result: Valid

What this file shows

A valid camt.052 intraday account report — and it is not a small camt.053: the root is BkToCstmrAcctRpt, the container is <Rpt>, and the balances are INTERIM (ITBD booked, ITAV available) rather than the OPBD/CLBD pair of an end-of-day statement. It also carries a pending entry (Sts=PDNG) that is deliberately excluded from the interim balance — pending money is not booked money.

Transactions3
Date in the file2026-07-10
Last verified: License: CC-BY-4.0

Every party, IBAN and amount below is fictitious. The IBANs are structurally valid — they pass the mod-97 check — but they belong to no real account.

File content

<?xml version="1.0" encoding="UTF-8"?>
<!--
  ValidateFin sample file — intraday account report, camt.052.001.08.
  Expected validation result: VALID.

  camt.052 is NOT a small camt.053: the root is BkToCstmrAcctRpt, the container is
  <Rpt> (not <Stmt>), and an intraday report carries INTERIM balances (ITBD booked /
  ITAV available) rather than the OPBD/CLBD pair of an end-of-day statement. It also
  legitimately carries PENDING entries (Sts=PDNG) that are not yet booked and must be
  excluded from any balance reconciliation.
  Here: OPBD 15000.00, two booked entries (+3000.00 / -670.00) => ITBD 17330.00,
  plus one pending credit of 2500.00 that is deliberately NOT in the interim balance.

  All parties and account numbers are fictitious.
  Reference page: https://validatefin.com/en/resources/samples/camt052-intraday-valid
  License: CC-BY-4.0
-->
<Document xmlns="urn:iso:std:iso:20022:tech:xsd:camt.052.001.08"
          xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance">
  <BkToCstmrAcctRpt>
    <GrpHdr>
      <MsgId>CAMT052-INTRADAY-20260710-1400</MsgId>
      <CreDtTm>2026-07-10T14:00:00</CreDtTm>
    </GrpHdr>
    <Rpt>
      <Id>RPT-IT-20260710-1400</Id>
      <ElctrncSeqNb>3</ElctrncSeqNb>
      <CreDtTm>2026-07-10T14:00:00</CreDtTm>
      <FrToDt>
        <FrDtTm>2026-07-10T00:00:00</FrDtTm>
        <ToDtTm>2026-07-10T14:00:00</ToDtTm>
      </FrToDt>
      <Acct>
        <Id>
          <IBAN>IT60X0542811101000000123456</IBAN>
        </Id>
        <Ccy>EUR</Ccy>
        <Nm>Conto corrente aziendale</Nm>
        <Ownr>
          <Nm>Tessitura Brianza SpA</Nm>
        </Ownr>
        <Svcr>
          <FinInstnId>
            <BICFI>UNCRITMM</BICFI>
            <Nm>UniCredit SpA</Nm>
          </FinInstnId>
        </Svcr>
      </Acct>
      <!-- Solde d'ouverture du jour -->
      <Bal>
        <Tp>
          <CdOrPrtry>
            <Cd>OPBD</Cd>
          </CdOrPrtry>
        </Tp>
        <Amt Ccy="EUR">15000.00</Amt>
        <CdtDbtInd>CRDT</CdtDbtInd>
        <Dt>
          <Dt>2026-07-10</Dt>
        </Dt>
      </Bal>
      <!-- Solde INTERMEDIAIRE comptabilise (ITBD) — propre au camt.052 -->
      <Bal>
        <Tp>
          <CdOrPrtry>
            <Cd>ITBD</Cd>
          </CdOrPrtry>
        </Tp>
        <Amt Ccy="EUR">17330.00</Amt>
        <CdtDbtInd>CRDT</CdtDbtInd>
        <Dt>
          <DtTm>2026-07-10T14:00:00</DtTm>
        </Dt>
      </Bal>
      <!-- Solde INTERMEDIAIRE disponible (ITAV) -->
      <Bal>
        <Tp>
          <CdOrPrtry>
            <Cd>ITAV</Cd>
          </CdOrPrtry>
        </Tp>
        <Amt Ccy="EUR">16830.00</Amt>
        <CdtDbtInd>CRDT</CdtDbtInd>
        <Dt>
          <DtTm>2026-07-10T14:00:00</DtTm>
        </Dt>
      </Bal>
      <TxsSummry>
        <TtlNtries>
          <NbOfNtries>3</NbOfNtries>
        </TtlNtries>
      </TxsSummry>
      <!-- 1. Encaissement comptabilise -->
      <Ntry>
        <NtryRef>IT-20260710-0001</NtryRef>
        <Amt Ccy="EUR">3000.00</Amt>
        <CdtDbtInd>CRDT</CdtDbtInd>
        <Sts>
          <Cd>BOOK</Cd>
        </Sts>
        <BookgDt>
          <DtTm>2026-07-10T09:12:00</DtTm>
        </BookgDt>
        <ValDt>
          <Dt>2026-07-10</Dt>
        </ValDt>
        <BkTxCd>
          <Domn>
            <Cd>PMNT</Cd>
            <Fmly>
              <Cd>RCDT</Cd>
              <SubFmlyCd>ESCT</SubFmlyCd>
            </Fmly>
          </Domn>
        </BkTxCd>
        <NtryDtls>
          <TxDtls>
            <Refs>
              <EndToEndId>FATT-2026-0771</EndToEndId>
            </Refs>
            <RltdPties>
              <Dbtr>
                <Pty>
                  <Nm>Moda Milano Srl</Nm>
                </Pty>
              </Dbtr>
              <DbtrAcct>
                <Id>
                  <IBAN>IT40S0542811101000000654321</IBAN>
                </Id>
              </DbtrAcct>
            </RltdPties>
            <RmtInf>
              <Ustrd>Fattura 2026-0771 saldo</Ustrd>
            </RmtInf>
          </TxDtls>
        </NtryDtls>
        <AddtlNtryInf>BONIFICO IN ENTRATA MODA MILANO</AddtlNtryInf>
      </Ntry>
      <!-- 2. Paiement comptabilise -->
      <Ntry>
        <NtryRef>IT-20260710-0002</NtryRef>
        <Amt Ccy="EUR">670.00</Amt>
        <CdtDbtInd>DBIT</CdtDbtInd>
        <Sts>
          <Cd>BOOK</Cd>
        </Sts>
        <BookgDt>
          <DtTm>2026-07-10T11:45:00</DtTm>
        </BookgDt>
        <ValDt>
          <Dt>2026-07-10</Dt>
        </ValDt>
        <BkTxCd>
          <Domn>
            <Cd>PMNT</Cd>
            <Fmly>
              <Cd>ICDT</Cd>
              <SubFmlyCd>ESCT</SubFmlyCd>
            </Fmly>

160 / 200 lines shown — the complete file is in the download above.

How we know these results hold

Every file in this library is run through the site's own validator on each build. The expected result stated above is asserted by an automated test — if a file stopped matching what this page claims, the build would fail. Two inherited fixtures were repaired this way before publication: three IBANs failed the mod-97 check and several names used characters outside the basic SEPA character set.

Bank statement (camt.052 / 053 / 054)