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ATOM®

AUTOMATED TRANSFER OF MONEY

SCHEDULE OF MONTHLY PAYMENTS AND REPORTS

Last day for brokers to submit or change banking information is 5 business days prior to month end.

Banking
Business Day

Day

Calendar Activity

Report Distribution

DAY 1:

Jun 3

Month-end accounting completed. Reports produced by the Clearing Corporation and given to clearing firms and brokers.

Brokers Market Information
336-A

DAY 3:

Jun 5

7:00 p.m. deadline for clearing firms to make corrections and adjustments to ATOM reports.

 

DAY 4:

Jun 6

The Clearing Corporation enters debit instructions into banking system. Firms receive final monthly reports reflecting any adjustments made.

 

DAY 5:

Jun 7

Reports given to brokers indicating payment information. Clearing firms’ accounts are debited.

Brokers Market Information 336-A

DAY 7:

Jun 11

The Clearing Corporation enters credit instructions into banking system.

 

DAY 8:

Jun 12

Brokers' accounts receive credit.

 

DAY 9:

Jun 13

Exception reports will be produced for clearing firms and brokers indicating non-payment information as rejected

information is received from the banks.

In the event payment could not be made, brokers will be notified through their PCM

 

*Jun 17

Last day for brokers to request hard copy reports or Reports Via the Internet.

Request forms can be found at Market Information 336-A

DAY 15:

Jun 21

Clearing Corporation enters credit instructions for corrected Brokers accounts which previously rejected

 
 

**Jun 24

Last day for Brokers to submit or change banking information for current month.

Brokers - Board of Trade Clearing Corp. Suite 1460

*Ten Business Days Prior to Month End

**Five Business Days Prior to Month End