Canadian Payments Association By-law No. 3 — Payment Items and Automated Clearing Settlement System
Version of section 50 from 2018-02-07 to 2024-10-30:
Marginal note:Settlement
50 (1) Subject to subsection (2), once the clearing balances have been established by the ACSS and corrected, if necessary, the Bank of Canada shall effect settlement by making the appropriate debit or credit entry into each direct clearer’s or group clearer’s settlement account.
Marginal note:Default
(2) In the case of a default by a direct clearer or group clearer under paragraph 53(1)(a), the Bank of Canada shall only effect settlement once the contributions by the other direct clearers, group clearers or the Bank of Canada have been made under subsection 57(2) or 57.01(2).
- SOR/2018-16, s. 4
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