Appendix C - Appendix C to Part 370—Credit Balance Processing File Structure

A covered institution's IT system should be able to produce a file in the format below that can be used to calculate deposit insurance coverage for deposits resulting from credit balances on accounts for debt owed to the covered institution (“credit balances”). This file format is derived from the “Broker Submission File Format” found in the FDIC's “Deposit Broker's Processing Guide,” supplemented by the “Addendum to the Deposit Broker's Processing Guide” used for Part 370 alternative recordkeeping entity processing. The file format below identifies fields that are not applicable for processing credit balances. These fields should be null while also maintaining the pipe delimiters. Additional information regarding the FDIC's Deposit Broker's Processing Guide for part 370 covered institutions may be found at https://www.fdic.gov/deposit/deposits/brokers/part-370-appendix.html

Field name Description Null value
allowed?
(Y/N)
01 Broker NumberNot applicableY. 02 Account NumberAccount number of account holding pending payments or other items for refunds of credit balancesN. 03 Customer Account NumberAssigned customer account numberN. 04 CUSIPNot applicableY. 05 Tax IDTaxpayer identification number of the account holderN. 06 Tax ID CodeCode indicates corporate (TIN) or personal tax identification number (SSN)N. 07 NameFull name of credit balance ownerN. 08 Name 2Name 2Y. 09 Address 1Address line 1 as it appears on the credit balance owner's statementN. 10 Address 2Address line 2 as it appears on the credit balance owner's statementY. 11 Address 3Address line 3 as it appears on the credit balance owner's statementY. 12 CityAddress city as it appears on the credit balance owner's statementN. 13 StateState postal abbreviation as it appears on the credit balance owner's statementY. 14 Zip/PostalThe zip/postal code associated with the credit balance owner's address at it appears on the credit balance owner's statement. For United States zip codes, use the United States Postal Service ZIP+4 standard. For international zip codes follow that standard format of that countryN. 15 CountryCountry code as it appears on the credit balance owner's statementN. 16 ProvinceProvince as it appears on the credit balance owner's statementY. 17 IRA CodeNot applicableY. 18 Credit BalanceCredit balance of the account as of the institution failure dateN. 19 Sub-broker IndicatorNot applicableY. 20 Deposit Account Ownership CategoryAccount ownership right and capacityN. 21 Transactional FlagNot applicableY. 22 Retained InterestNot applicableY. 23 Amount of OverfundingNot applicableY. 24 Account Participant Full NameNot applicableY. 25 Account Participant TypeNot applicableY. 26 Amount of Account Participant's Non-contingent InterestsNot applicableY. 27 Amount of Account Participant's Contingent InterestsNot applicableY. 28 Account Participant's Government-Issued IDNot applicableY. 29 Account Participant's Government-Issued ID TypeNot applicableY.