Standards
- ADR representation of term deposit balance
- Representing multi-tiered product rates
- CommonAuthorisation agent
- Direct debits
- CommonPAFAddress enumerated values
- Nominated linked accounts and payees
- Availability metrics and latency
- Payees and Scheduled Payments on closed accounts
- Client authentication and client_id
- Secondary user consent and details
- Format for x-fapi-auth-date
- Direct debit deduplication
- Accounts that cannot be shared
- JOSE header claim
- DH requirement for x-cds-client-headers
- Account Details required fees
- Scheduled credit card payments and direct debits
- BankingTermDepositAccount maturityInstructions value for multiple instructions
- BankingScheduledPaymentTo payeeId and payee details
- Country code on non-Australian state
- Admin timezone
- Data Holder response to authorisation request with only openid or openid/ profile in scope
- Outage disaster recovery and availability metrics
- BankingCreditCardAccount for new credit cards
- Distinction between phasing dates and binding dates
- Egress policy for calls from DH to ADRs
- BankingTransaction reference field
- Get Transaction Detail X2P1.01 mandatory fields
- Metrics for API calls that are rejected or return an error
- Reporting exemptions for incorrect API calls