camt.053.001.08 — valid statement
Un estratto conto camt.053.001.08 valido: tre movimenti, timestamp DtTm e BICFI al posto di BIC — le differenze su cui si inciampa passando dalla versione 02 alla 08.
camt.053.001.08 — Valido
Un estratto conto camt.053.001.08 valido: tre movimenti, timestamp DtTm e BICFI al posto di BIC — le differenze su cui si inciampa passando dalla versione 02 alla 08.
Cosa mostra questo file
Un estratto conto camt.053.001.08 valido: tre movimenti, timestamp DtTm e BICFI al posto di BIC — le differenze su cui si inciampa passando dalla versione 02 alla 08.
| Transazioni | 3 |
|---|
Tutte le parti, gli IBAN e gli importi qui sotto sono fittizi. Gli IBAN sono strutturalmente validi — superano il mod-97 — ma non corrispondono ad alcun conto reale.
Contenuto del file
<?xml version="1.0" encoding="UTF-8"?>
<!--
ValidateFin sample file — bank statement, camt.053.001.08.
Expected validation result: VALID — 3 entries, DtTm dates, BICFI, balances
reconcile.
All parties and account numbers are fictitious.
Reference page: https://validatefin.com/en/resources/samples/camt053-v08-valid
License: CC-BY-4.0
-->
<Document xmlns="urn:iso:std:iso:20022:tech:xsd:camt.053.001.08"
xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance">
<BkToCstmrStmt>
<GrpHdr>
<MsgId>CAMT053-TEST-V08-20260223</MsgId>
<CreDtTm>2026-02-23T09:15:00</CreDtTm>
</GrpHdr>
<Stmt>
<Id>STMT-BE-2026-02</Id>
<LglSeqNb>12</LglSeqNb>
<CreDtTm>2026-02-23T09:15:00</CreDtTm>
<FrToDt>
<FrDtTm>2026-02-01T00:00:00</FrDtTm>
<ToDtTm>2026-02-28T23:59:59</ToDtTm>
</FrToDt>
<Acct>
<Id>
<IBAN>BE68539007547034</IBAN>
</Id>
<Ccy>EUR</Ccy>
<Nm>Test Belgique SPRL</Nm>
<Ownr>
<Nm>Test Belgique SPRL</Nm>
</Ownr>
<Svcr>
<FinInstnId>
<BICFI>GEBABEBB</BICFI>
</FinInstnId>
</Svcr>
</Acct>
<!-- Solde d'ouverture -->
<Bal>
<Tp>
<CdOrPrtry>
<Cd>OPBD</Cd>
</CdOrPrtry>
</Tp>
<Amt Ccy="EUR">15000.00</Amt>
<CdtDbtInd>CRDT</CdtDbtInd>
<Dt>
<DtTm>2026-02-01T00:00:00</DtTm>
</Dt>
</Bal>
<!-- Solde de clôture -->
<Bal>
<Tp>
<CdOrPrtry>
<Cd>CLBD</Cd>
</CdOrPrtry>
</Tp>
<Amt Ccy="EUR">13750.75</Amt>
<CdtDbtInd>CRDT</CdtDbtInd>
<Dt>
<DtTm>2026-02-28T23:59:59</DtTm>
</Dt>
</Bal>
<!-- Transaction 1 : virement reçu -->
<Ntry>
<NtryRef>BEL-001-20260205</NtryRef>
<Amt Ccy="EUR">4500.00</Amt>
<CdtDbtInd>CRDT</CdtDbtInd>
<Sts>
<Cd>BOOK</Cd>
</Sts>
<BookgDt>
<DtTm>2026-02-05T14:23:00</DtTm>
</BookgDt>
<ValDt>
<DtTm>2026-02-05T14:23:00</DtTm>
</ValDt>
<BkTxCd>
<Domn>
<Cd>PMNT</Cd>
<Fmly>
<Cd>RCDT</Cd>
<SubFmlyCd>ESCT</SubFmlyCd>
</Fmly>
</Domn>
</BkTxCd>
<NtryDtls>
<TxDtls>
<Refs>
<EndToEndId>FACTURE-BE-2026-0034</EndToEndId>
<TxId>TXN-BE-20260205-001</TxId>
</Refs>
<RltdPties>
<Dbtr>
<Pty>
<Nm>Mueller & Co. GmbH</Nm>
</Pty>
</Dbtr>
<DbtrAcct>
<Id>
<IBAN>DE89370400440532013000</IBAN>
</Id>
</DbtrAcct>
</RltdPties>
<RmtInf>
<Ustrd>Facture BE-2026-0034 — Consultation janvier</Ustrd>
</RmtInf>
</TxDtls>
</NtryDtls>
<AddtlNtryInf>ENTREE VIREMENT CLIENT MUELLER</AddtlNtryInf>
</Ntry>
<!-- Transaction 2 : débit salaires -->
<Ntry>
<NtryRef>BEL-002-20260228</NtryRef>
<Amt Ccy="EUR">5249.25</Amt>
<CdtDbtInd>DBIT</CdtDbtInd>
<Sts>
<Cd>BOOK</Cd>
</Sts>
<BookgDt>
<DtTm>2026-02-28T10:00:00</DtTm>
</BookgDt>
<ValDt>
<DtTm>2026-02-28T10:00:00</DtTm>
</ValDt>
<BkTxCd>
<Domn>
<Cd>PMNT</Cd>
<Fmly>
<Cd>ICDT</Cd>
<SubFmlyCd>ESCT</SubFmlyCd>
</Fmly>
</Domn>
</BkTxCd>
<NtryDtls>
<TxDtls>
<Refs>
<EndToEndId>SALAIRES-FEV-2026</EndToEndId>
</Refs>
<RmtInf>
<Ustrd>Salaires et charges sociales — février 2026</Ustrd>
</RmtInf>
</TxDtls>
</NtryDtls>
<AddtlNtryInf>PAIEMENT SALAIRES FEVRIER 2026</AddtlNtryInf>
</Ntry>
<!-- Transaction 3 : frais bancaires -->
<Ntry>
<NtryRef>BEL-003-20260228</NtryRef>
<Amt Ccy="EUR">500.00</Amt>
<CdtDbtInd>DBIT</CdtDbtInd>
<Sts>
<Cd>BOOK</Cd>
</Sts>
<BookgDt>
<DtTm>2026-02-28T23:00:00</DtTm>
</BookgDt>160 / 178 lines shown — the complete file is in the download above.
Come sappiamo che questi risultati reggono
Ogni file di questa libreria passa nel validatore del sito a ogni build. Il risultato atteso indicato sopra è verificato da un test automatico: se un file smettesse di corrispondere a quanto afferma questa pagina, la build fallirebbe. Due fixture ereditate sono state riparate così prima della pubblicazione: tre IBAN non superavano il mod-97 e diversi nomi usavano caratteri fuori dal set SEPA di base.
Estratto conto (camt.052 / 053 / 054)
- camt.053.001.02 — valid statement
- camt.053 — unsupported namespace
- camt.053.001.06 — missing Stmt element
- camt.053.001.11 — valid statement
- camt.053.001.08 — three accounts in one file
- camt.053.001.10 — fully detailed entries
- camt.053.001.08 — closing balance does not reconcile
- camt.052.001.08 — valid intraday report
- camt.054.001.08 — valid debit/credit notification
- camt.053.001.08 — entry with no CdtDbtInd
- camt.053.001.08 — 220 entries, valid