---
title: "Create an International Standing Order Consent"
method: POST
path: "/international-standing-order-consents"
tags: ["International Standing Orders Consents"]
---

# Create an International Standing Order Consent

`POST /international-standing-order-consents`

Enables a PISP to register an intent to initiate an International Standing Order arrangement.

## Headers

- `x-fapi-auth-date` string
- `x-fapi-customer-ip-address` string
- `x-fapi-interaction-id` string
- `Authorization` string, required
- `x-idempotency-key` string, required
- `x-jws-signature` string, required
- `x-customer-user-agent` string
- `x-client-id` string

## Request body

- OBWriteInternationalStandingOrderConsent6
  - `Data` object, required
    - `Permission` 'Create', required — Specifies the Open Banking service request types.
    - `ReadRefundAccount` 'No' | 'Yes' — Specifies to share the refund account details with PISP
    - `Initiation` object, required — The Initiation payload is sent by the initiating party to the ASPSP. It is used to request movement of funds from the debtor account to a creditor for an international standing order.
      - `RemittanceInformation` OBRemittanceInformation2 — Information supplied to enable the matching of an entry with the items that the transfer is intended to settle, such as commercial invoices in an accounts' receivable system
        - `Structured` OBRemittanceInformationStructured[]
          - `ReferredDocumentInformation` OBReferredDocumentInformation[]
            - `Code` 'CINV' | 'CNFA' | 'CONT' | 'CREN' | 'DEBN' | 'DISP' | 'DNFA' | 'HIRI' | 'INVS' | 'MSIN' | 'PROF' | 'PUOR' | 'QUOT' | 'SBIN' | 'SPRR' | 'TISH' — Specifies the document type as published in an external document type code list. For more information see `ExternalDocumentType1Code` in *ISO_External_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
            - `Issuer` string — Identification of the issuer of the reference document type.
            - `Number` string — Identification of the type specified for the referred document line.
            - `RelatedDate` string, date-time — Date associated with the referred document line.
            - `LineDetails` string[] — Set of elements used to provide the content of the referred document line.
          - `ReferredDocumentAmount` string — A number of monetary units specified in an active currency where the unit of currency is explicit and compliant with ISO 4217.
          - `CreditorReferenceInformation` object — Reference information provided by the creditor to allow the identification of the underlying documents.
            - `Code` 'DISP' | 'FXDR' | 'PUOR' | 'RPIN' | 'RADM' | 'SCOR' — Specifies the type of creditor reference as published in an external creditor reference type code set. For more information see `ExternalCreditorReferenceType1Code` in *ISO_External_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
            - `Issuer` string — Entity that assigns the identification.
            - `Reference` string — Unique reference, as assigned by the creditor, to unambiguously refer to the payment transaction.
          - `Invoicer` string — Identification of the organisation issuing the invoice, when it is different from the creditor or ultimate creditor
          - `Invoicee` string — Identification of the party to whom an invoice is issued, when it is different from the debtor or ultimate debtor.
          - `TaxRemittance` string — Provides remittance information about a payment made for tax-related purposes.
          - `AdditionalRemittanceInformation` string[] — Additional information, in free text form, to complement the structured remittance information.
        - `Unstructured` string[] — Information supplied to enable the matching/reconciliation of an entry with the items that the payment is intended to settle, such as commercial invoices in an accounts' receivable system, in an unstructured form.
      - `NumberOfPayments` string — Number of the payments that will be made in completing this frequency sequence including any executed since the sequence start date.
      - `ExtendedPurpose` string — Specifies the purpose of an international payment, when there is no corresponding 4 character code available in the ISO20022 list of Purpose Codes.
      - `ChargeBearer` 'BorneByCreditor' | 'BorneByDebtor' | 'FollowingServiceLevel' | 'Shared' — Specifies which party/parties will bear the charges associated with the processing of the payment transaction. For a full list of values refer to `OBInternalChargeBearerType1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `CurrencyOfTransfer` string, required — Specifies the currency of the to be transferred amount, which is different from the currency of the debtor's account.
      - `DestinationCountryCode` string — Country in which Credit Account is domiciled. Code to identify a country, a dependency, or another area of particular geopolitical interest, on the basis of country names obtained from the United Nations (ISO 3166, Alpha-2 code).
      - `InstructedAmount` object, required — Amount of money to be moved between the debtor and creditor, before deduction of charges, expressed in the currency as ordered by the initiating party. Usage: This amount has to be transported unchanged through the transaction chain.
        - `Amount` string, required — A number of monetary units specified in an active currency where the unit of currency is explicit and compliant with ISO 4217.
        - `Currency` string, required — A code allocated to a currency by a Maintenance Agency under an international identification scheme, as described in the latest edition of the international standard ISO 4217 "Codes for the representation of currencies and funds".
      - `DebtorAccount` object — Provides the details to identify the debtor account.
        - `SchemeName` string, required — Name of the identification scheme, in a coded form as published in an external list. For a full list of values refer to `OBInternalAccountIdentification4Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `Identification` string, required — Identification assigned by an institution to identify an account. This identification is known by the account owner.
        - `Name` string — The account name is the name or names of the account owner(s) represented at an account level, as displayed by the ASPSP's online channels. Note, the account name is not the product name or the nickname of the account.
        - `SecondaryIdentification` string — This is secondary identification of the account, as assigned by the account servicing institution. This can be used by building societies to additionally identify accounts with a roll number (in addition to a sort code and account number combination).
        - `Proxy` OBProxy1 — Specifies an alternate assumed name for the identification of the account.
          - `Identification` string, required — Identification used to indicate the account identification under another specified name.
          - `Code` 'TELE' | 'EMAL' | 'DNAM' | 'CINC' | 'COTX' | 'COID' | 'CUST' | 'DRLC' | 'EIDN' | 'EWAL' | 'PVTX' | 'LEIC' | 'MBNO' | 'NIDN' | 'CCPT' | 'SHID' | 'SOSE' | 'TOKN' | 'UBIL' | 'VIPN' | 'BIID', required — Specifies the external proxy account type code, as published in the proxy account type external code set.<br /> For a full list of values see `ExternalProxyAccountType1Code` in *ISO_External_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
          - `Type` string — Type of the proxy identification.
      - `Creditor` object — Party to which an amount of money is due.
        - `Name` string — Name by which a party is known and which is usually used to identify that party.
        - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
        - `PostalAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
          - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
          - `Department` string — Identification of a division of a large organisation or building.
          - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
          - `StreetName` string — Name of a street or thoroughfare.
          - `BuildingNumber` string — Number that identifies the position of a building on a street.
          - `BuildingName` string — Name of a referenced building.
          - `Floor` string — Number that identifies the level within a building
          - `UnitNumber` string — Number that identifies the unit of a specific address .
          - `Room` string — Information that locates and identifies a room to form part of an address
          - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
          - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
          - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
          - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
          - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
          - `Country` string — Nation with its own government.
          - `AddressLine` string[]
      - `CreditorAgent` object — Party that manages the account on behalf of the account owner, that is manages the registration and booking of entries on the account, calculates balances on the account and provides information about the account. This is the servicer of the beneficiary account.
        - `SchemeName` string — Name of the identification scheme, in a coded form as published in an external list.
        - `Identification` string — Unique and unambiguous identification of the servicing institution.
        - `Name` string — Name by which an agent is known and which is usually used to identify that agent.
        - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
        - `PostalAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
          - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
          - `Department` string — Identification of a division of a large organisation or building.
          - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
          - `StreetName` string — Name of a street or thoroughfare.
          - `BuildingNumber` string — Number that identifies the position of a building on a street.
          - `BuildingName` string — Name of a referenced building.
          - `Floor` string — Number that identifies the level within a building
          - `UnitNumber` string — Number that identifies the unit of a specific address .
          - `Room` string — Information that locates and identifies a room to form part of an address
          - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
          - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
          - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
          - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
          - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
          - `Country` string — Nation with its own government.
          - `AddressLine` string[]
      - `CreditorAccount` object, required — Provides the details to identify the beneficiary account.
        - `SchemeName` string, required — Name of the identification scheme, in a coded form as published in an external list. For a full list of values refer to `OBInternalAccountIdentification4Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `Identification` string, required — Identification assigned by an institution to identify an account. This identification is known by the account owner.
        - `Name` string, required — The account name is the name or names of the account owner(s) represented at an account level. Note, the account name is not the product name or the nickname of the account. OB: ASPSPs may carry out name validation for Confirmation of Payee, but it is not mandatory.
        - `SecondaryIdentification` string — This is secondary identification of the account, as assigned by the account servicing institution. This can be used by building societies to additionally identify accounts with a roll number (in addition to a sort code and account number combination).
        - `Proxy` OBProxy1 — Specifies an alternate assumed name for the identification of the account.
          - `Identification` string, required — Identification used to indicate the account identification under another specified name.
          - `Code` 'TELE' | 'EMAL' | 'DNAM' | 'CINC' | 'COTX' | 'COID' | 'CUST' | 'DRLC' | 'EIDN' | 'EWAL' | 'PVTX' | 'LEIC' | 'MBNO' | 'NIDN' | 'CCPT' | 'SHID' | 'SOSE' | 'TOKN' | 'UBIL' | 'VIPN' | 'BIID', required — Specifies the external proxy account type code, as published in the proxy account type external code set.<br /> For a full list of values see `ExternalProxyAccountType1Code` in *ISO_External_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
          - `Type` string — Type of the proxy identification.
      - `UltimateCreditor` OBUltimateCreditor1 — Ultimate party to which an amount of money is due.
        - `Name` string — Name by which a party is known and which is usually used to identify that party.
        - `Identification` string — Identification assigned by an institution.
        - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
        - `SchemeName` string — Name of the identification scheme, in a coded form as published in an external list. For a full list of values refer to `OBInternalAccountIdentification4Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `PostalAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
          - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
          - `Department` string — Identification of a division of a large organisation or building.
          - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
          - `StreetName` string — Name of a street or thoroughfare.
          - `BuildingNumber` string — Number that identifies the position of a building on a street.
          - `BuildingName` string — Name of a referenced building.
          - `Floor` string — Number that identifies the level within a building
          - `UnitNumber` string — Number that identifies the unit of a specific address .
          - `Room` string — Information that locates and identifies a room to form part of an address
          - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
          - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
          - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
          - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
          - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
          - `Country` string — Nation with its own government.
          - `AddressLine` string[]
      - `UltimateDebtor` OBUltimateDebtor1 — Ultimate party that owes an amount of money to the (ultimate) creditor.
        - `Name` string — Name by which a party is known and which is usually used to identify that party.
        - `Identification` string — Identification assigned by an institution.
        - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
        - `SchemeName` string — Name of the identification scheme, in a coded form as published in an external list. For a full list of values refer to `OBInternalAccountIdentification4Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `PostalAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
          - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
          - `Department` string — Identification of a division of a large organisation or building.
          - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
          - `StreetName` string — Name of a street or thoroughfare.
          - `BuildingNumber` string — Number that identifies the position of a building on a street.
          - `BuildingName` string — Name of a referenced building.
          - `Floor` string — Number that identifies the level within a building
          - `UnitNumber` string — Number that identifies the unit of a specific address .
          - `Room` string — Information that locates and identifies a room to form part of an address
          - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
          - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
          - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
          - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
          - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
          - `Country` string — Nation with its own government.
          - `AddressLine` string[]
      - `RegulatoryReporting` OBRegulatoryReporting1[]
        - `DebitCreditReportingIndicator` 'CRED' | 'DEBT' | 'BOTH' — Identifies whether the regulatory reporting information applies to the debit side, to the credit side or to both debit and credit sides of the transaction. For a full list of values refer to `OBExternalRegulatoryReportingType1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `Authority` OBRegulatoryAuthority2 — Entity requiring the regulatory reporting information.
          - `Name` string — Name of the entity requiring the regulatory reporting information.
          - `CountryCode` string — Nation with its own government.
        - `Details` OBStructuredRegulatoryReporting3[]
          - `Type` string — Specifies the type of the information supplied in the regulatory reporting details
          - `Date` string, date-time — All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
          - `Country` string — Nation with its own government.
          - `Amount` OBActiveOrHistoricCurrencyAndAmount — Amount of money associated with the charge type.
            - `Amount` string, required — A number of monetary units specified in an active currency where the unit of currency is explicit and compliant with ISO 4217.
            - `Currency` string, required — A code allocated to a currency by a Maintenance Agency under an international identification scheme, as described in the latest edition of the international standard ISO 4217 "Codes for the representation of currencies and funds".
          - `Information` string[] — Additional details that cater for specific domestic regulatory requirements.
      - `MandateRelatedInformation` OBMandateRelatedInformation1, required
        - `MandateIdentification` string — Unique identification, as assigned by the creditor, to unambiguously identify the mandate.
        - `Classification` 'FIXE' | 'USGB' | 'VARI'
        - `CategoryPurposeCode` 'BONU' | 'CASH' | 'CBLK' | 'CCRD' | 'CGWV' | 'CIPC' | 'CONC' | 'CORT' | 'DCRD' | 'DIVI' | 'DVPM' | 'EPAY' | 'FCDT' | 'FCIN' | 'FCOL' | 'GOVT' | 'GP2P' | 'HEDG' | 'ICCP' | 'IDCP' | 'INTC' | 'INTE' | 'LBOX' | 'LOAN' | 'MP2B' | 'MP2P' | 'OTHR' | 'PENS' | 'RPRE' | 'RRCT' | 'RVPM' | 'SALA' | 'SECU' | 'SSBE' | 'SUPP' | 'SWEP' | 'TAXS' | 'TOPG' | 'TRAD' | 'TREA' | 'VATX' | 'VOST' | 'WHLD' | 'ZABA' — Enumeration of codes that outlines the type of purpose behind a transaction, payment or risk. For all enum values see `ExternalCategoryPurpose1Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `FirstPaymentDateTime` string, date-time
        - `RecurringPaymentDateTime` string, date-time — The date on which the first recurring payment for a Standing Order schedule will be made. Usage: This must be populated only if the first recurring date is different to the first payment date. All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
        - `FinalPaymentDateTime` string, date-time
        - `Frequency` OBFrequency6, required — Regularity with which credit transfer instructions are to be created and processed
          - `Type` union, required
            - 'ADHO' | 'YEAR' | 'DAIL' | 'FRTN' | 'INDA' | 'MNTH' | 'QURT' | 'MIAN' | 'WEEK' | 'WODL' | 'FOWK' | 'TWMH' | 'FOMH' | 'FIMH' | 'ALMH' | 'NONE' | 'LWMH' | 'LXMH' | 'TWYR' — For a full list of values see `OBFrequency6Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
            - string — Individual Definitions: NotKnown - Not Known EvryDay - Every day EvryWorkgDay - Every working day IntrvlDay - An interval specified in number of calendar days (02 to 31) IntrvlWkDay - An interval specified in weeks (01 to 09), and the day within the week (01 to 07) WkInMnthDay - A monthly interval, specifying the week of the month (01 to 05) and day within the week (01 to 07) IntrvlMnthDay - An interval specified in months (between 01 to 06, 12, 24), specifying the day within the month (-05 to -01, 01 to 31) QtrDay - Quarterly (either ENGLISH, SCOTTISH, or RECEIVED) ENGLISH = Paid on the 25th March, 24th June, 29th September and 25th December. SCOTTISH = Paid on the 2nd February, 15th May, 1st August and 11th November. RECEIVED = Paid on the 20th March, 19th June, 24th September and 20th December. Individual Patterns: NotKnown (ScheduleCode) EvryDay (ScheduleCode) EvryWorkgDay (ScheduleCode) IntrvlDay:NoOfDay (ScheduleCode + NoOfDay) IntrvlWkDay:IntervalInWeeks:DayInWeek (ScheduleCode + IntervalInWeeks + DayInWeek) WkInMnthDay:WeekInMonth:DayInWeek (ScheduleCode + WeekInMonth + DayInWeek) IntrvlMnthDay:IntervalInMonths:DayInMonth (ScheduleCode + IntervalInMonths + DayInMonth) QtrDay: + either (ENGLISH, SCOTTISH or RECEIVED) ScheduleCode + QuarterDay The regular expression for this element combines five smaller versions for each permitted pattern. To aid legibility - the components are presented individually here: NotKnown EvryDay EvryWorkgDay IntrvlDay:((0[2-9])|([1-2][0-9])|3[0-1]) IntrvlWkDay:0[1-9]:0[1-7] WkInMnthDay:0[1-5]:0[1-7] IntrvlMnthDay:(0[1-6]|12|24):(-0[1-5]|0[1-9]|[12][0-9]|3[01]) QtrDay:(ENGLISH|SCOTTISH|RECEIVED) Full Regular Expression: ^(NotKnown)$|^(EvryDay)$|^(EvryWorkgDay)$|^(IntrvlDay:((0[2-9])|([1-2][0-9])|3[0-1]))$|^(IntrvlWkDay:0[1-9]:0[1-7])$|^(WkInMnthDay:0[1-5]:0[1-7])$|^(IntrvlMnthDay:(0[1-6]|12|24):(-0[1-5]|0[1-9]|[12][0-9]|3[01]))$|^(QtrDay:(ENGLISH|SCOTTISH|RECEIVED))$
          - `CountPerPeriod` integer — Number of instructions to be created and processed during the specified period .Specifies a frequency in terms of a count per period within a specified frequency type. Note: should not be used alongside `PointInTime`
          - `PointInTime` string — Exact2NumericText - Further information on the exact point in time the event should take place. Specifies a frequency in terms of an exact point in time or moment within a specified frequency type. Note: should not be used alongside `CountPerPeriod`.
        - `Reason` string — Reason for the direct debit mandate to allow the user to distinguish between different mandates for the same creditor.
      - `SupplementaryData` OBSupplementaryData1 — Additional information that can not be captured in the structured fields and/or any other specific block.
    - `Authorisation` object — The authorisation type request from the TPP.
      - `AuthorisationType` 'Any' | 'Single', required — Type of authorisation flow requested.
      - `CompletionDateTime` string, date-time — Date and time at which the requested authorisation flow must be completed. All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
    - `SCASupportData` OBSCASupportData1 — Supporting Data provided by TPP, when requesting SCA Exemption.
      - `RequestedSCAExemptionType` 'BillPayment' | 'ContactlessTravel' | 'EcommerceGoods' | 'EcommerceServices' | 'Kiosk' | 'Parking' | 'PartyToParty' — This field allows a PISP to request specific SCA Exemption for a Payment Initiation. For a full list of values refer to `OBInternalSCAExemptionType1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `AppliedAuthenticationApproach` 'CA' | 'SCA' — Specifies a character string with a maximum length of 40 characters. Usage: This field indicates whether the PSU was subject to SCA performed by the TPP For a full list of values refer to `OBInternalAppliedAuthenticationApproach1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `ReferencePaymentOrderId` string — If the payment is recurring, then this field is populated with the transaction identifier of the previous payment occurrence so that the ASPSP can verify that the PISP, amount and the payee are the same as the previous occurrence. The value here refers to the payment id e.g. DomesticPaymentId
  - `Risk` OBRisk1, required — The Risk section is sent by the initiating party to the ASPSP. It is used to specify additional details for risk scoring for Payments.
    - `PaymentContextCode` 'BillingGoodsAndServicesInAdvance' | 'BillingGoodsAndServicesInArrears' | 'EcommerceMerchantInitiatedPayment' | 'FaceToFacePointOfSale' | 'TransferToSelf' | 'TransferToThirdParty' | 'BillPayment' | 'EcommerceGoods' | 'EcommerceServices' | 'PartyToParty' | 'PispPayee' | 'Other' — Specifies the payment context, `OBInternalPaymentContext1Code`<br> The following values are deprecated and <u>**must not**</u> be used in a new consent or payment. They may optionally be returned for a historical payment/consent migrated to v4:<br> * BillPayment - @deprecated * EcommerceGoods - @deprecated * EcommerceServices - @deprecated * PartyToParty - @deprecated * PispPayee - @deprecated * Other - @deprecated
    - `MerchantCategoryCode` string — Category code conform to ISO 18245, related to the type of services or goods the merchant provides for the transaction.
    - `MerchantCustomerIdentification` string — The unique customer identifier of the PSU with the merchant.
    - `ContractPresentIndicator` boolean — Indicates if Payee has a contractual relationship with the PISP.
    - `BeneficiaryPrepopulatedIndicator` boolean — Indicates if PISP has immutably prepopulated payment details in for the PSU.
    - `PaymentPurposeCode` 'BKDF' | 'BKFE' | 'BKFM' | 'BKIP' | 'BKPP' | 'CBLK' | 'CDCB' | 'CDCD' | 'CDCS' | 'CDDP' | 'CDOC' | 'CDQC' | 'ETUP' | 'FCOL' | 'MTUP' | 'ACCT' | 'CASH' | 'COLL' | 'CSDB' | 'DEPT' | 'INTC' | 'INTP' | 'LIMA' | 'NETT' | 'BFWD' | 'CCIR' | 'CCPC' | 'CCPM' | 'CCSM' | 'CRDS' | 'CRPR' | 'CRSP' | 'CRTL' | 'EQPT' | 'EQUS' | 'EXPT' | 'EXTD' | 'FIXI' | 'FWBC' | 'FWCC' | 'FWSB' | 'FWSC' | 'MARG' | 'MBSB' | 'MBSC' | 'MGCC' | 'MGSC' | 'OCCC' | 'OPBC' | 'OPCC' | 'OPSB' | 'OPSC' | 'OPTN' | 'OTCD' | 'REPO' | 'RPBC' | 'RPCC' | 'RPSB' | 'RPSC' | 'RVPO' | 'SBSC' | 'SCIE' | 'SCIR' | 'SCRP' | 'SHBC' | 'SHCC' | 'SHSL' | 'SLEB' | 'SLOA' | 'SWBC' | 'SWCC' | 'SWPT' | 'SWSB' | 'SWSC' | 'TBAS' | 'TBBC' | 'TBCC' | 'TRCP' | 'AGRT' | 'AREN' | 'BEXP' | 'BOCE' | 'COMC' | 'CPYR' | 'GDDS' | 'GDSV' | 'GSCB' | 'LICF' | 'MP2B' | 'POPE' | 'ROYA' | 'SCVE' | 'SERV' | 'SUBS' | 'SUPP' | 'TRAD' | 'CHAR' | 'COMT' | 'MP2P' | 'ECPG' | 'ECPR' | 'ECPU' | 'EPAY' | 'CLPR' | 'COMP' | 'DBTC' | 'GOVI' | 'HLRP' | 'HLST' | 'INPC' | 'INPR' | 'INSC' | 'INSU' | 'INTE' | 'LBRI' | 'LIFI' | 'LOAN' | 'LOAR' | 'PENO' | 'PPTI' | 'RELG' | 'RINP' | 'TRFD' | 'FORW' | 'FXNT' | 'ADMG' | 'ADVA' | 'BCDM' | 'BCFG' | 'BLDM' | 'BNET' | 'CBFF' | 'CBFR' | 'CCRD' | 'CDBL' | 'CFEE' | 'CGDD' | 'CORT' | 'COST' | 'CPKC' | 'DCRD' | 'DSMT' | 'DVPM' | 'EDUC' | 'FACT' | 'FAND' | 'FCPM' | 'FEES' | 'GIFT' | 'GOVT' | 'ICCP' | 'IDCP' | 'IHRP' | 'INSM' | 'IVPT' | 'MCDM' | 'MCFG' | 'MSVC' | 'NOWS' | 'OCDM' | 'OCFG' | 'OFEE' | 'OTHR' | 'PADD' | 'PTSP' | 'RCKE' | 'RCPT' | 'REBT' | 'REFU' | 'RENT' | 'REOD' | 'RIMB' | 'RPNT' | 'RRBN' | 'RRCT' | 'RRTP' | 'RVPM' | 'SLPI' | 'SPLT' | 'STDY' | 'TBAN' | 'TBIL' | 'TCSC' | 'TELI' | 'TMPG' | 'TPRI' | 'TPRP' | 'TRNC' | 'TRVC' | 'WEBI' | 'IPAY' | 'IPCA' | 'IPDO' | 'IPEA' | 'IPEC' | 'IPEW' | 'IPPS' | 'IPRT' | 'IPU2' | 'IPUW' | 'ANNI' | 'CAFI' | 'CFDI' | 'CMDT' | 'DERI' | 'DIVD' | 'FREX' | 'HEDG' | 'INVS' | 'PRME' | 'SAVG' | 'SECU' | 'SEPI' | 'TREA' | 'UNIT' | 'FNET' | 'FUTR' | 'ANTS' | 'CVCF' | 'DMEQ' | 'DNTS' | 'HLTC' | 'HLTI' | 'HSPC' | 'ICRF' | 'LTCF' | 'MAFC' | 'MARF' | 'MDCS' | 'VIEW' | 'CDEP' | 'SWFP' | 'SWPP' | 'SWRS' | 'SWUF' | 'ADCS' | 'AEMP' | 'ALLW' | 'ALMY' | 'BBSC' | 'BECH' | 'BENE' | 'BONU' | 'CCHD' | 'COMM' | 'CSLP' | 'GFRP' | 'GVEA' | 'GVEB' | 'GVEC' | 'GVED' | 'GWLT' | 'HREC' | 'PAYR' | 'PEFC' | 'PENS' | 'PRCP' | 'RHBS' | 'SALA' | 'SPSP' | 'SSBE' | 'LBIN' | 'LCOL' | 'LFEE' | 'LMEQ' | 'LMFI' | 'LMRK' | 'LREB' | 'LREV' | 'LSFL' | 'ESTX' | 'FWLV' | 'GSTX' | 'HSTX' | 'INTX' | 'NITX' | 'PTXP' | 'RDTX' | 'TAXS' | 'VATX' | 'WHLD' | 'TAXR' | 'B112' | 'BR12' | 'TLRF' | 'TLRR' | 'AIRB' | 'BUSB' | 'FERB' | 'RLWY' | 'TRPT' | 'CBTV' | 'ELEC' | 'ENRG' | 'GASB' | 'NWCH' | 'NWCM' | 'OTLC' | 'PHON' | 'UBIL' | 'WTER' | 'BOND' | 'CABD' | 'CAEQ' | 'CBCR' | 'DBCR' | 'DICL' | 'EQTS' | 'FLCR' | 'EFTC' | 'EFTD' | 'MOMA' | 'RAPI' | 'GAMB' | 'LOTT' | 'AMEX' | 'SASW' | 'AUCO' | 'PCOM' | 'PDEP' | 'PLDS' | 'PLRF' | 'GAFA' | 'GAHO' | 'CPEN' | 'DEPD' | 'RETL' | 'DEBT' | 'CRYP' — This is a partial list, For a full list see `ExternalPurpose1Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
    - `CategoryPurposeCode` 'BONU' | 'CASH' | 'CBLK' | 'CCRD' | 'CGWV' | 'CIPC' | 'CONC' | 'CORT' | 'DCRD' | 'DIVI' | 'DVPM' | 'EPAY' | 'FCDT' | 'FCIN' | 'FCOL' | 'GOVT' | 'GP2P' | 'HEDG' | 'ICCP' | 'IDCP' | 'INTC' | 'INTE' | 'LBOX' | 'LOAN' | 'MP2B' | 'MP2P' | 'OTHR' | 'PENS' | 'RPRE' | 'RRCT' | 'RVPM' | 'SALA' | 'SECU' | 'SSBE' | 'SUPP' | 'SWEP' | 'TAXS' | 'TOPG' | 'TRAD' | 'TREA' | 'VATX' | 'VOST' | 'WHLD' | 'ZABA' — Enumeration of codes that outlines the type of purpose behind a transaction, payment or risk. For all enum values see `ExternalCategoryPurpose1Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
    - `BeneficiaryAccountType` 'Business' | 'BusinessSavingsAccount' | 'Charity' | 'Collection' | 'Corporate' | 'Ewallet' | 'Government' | 'Investment' | 'ISA' | 'JointPersonal' | 'Pension' | 'Personal' | 'PersonalSavingsAccount' | 'Premier' | 'Wealth' — Specifies the extended type of account.
    - `DeliveryAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
      - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
      - `Department` string — Identification of a division of a large organisation or building.
      - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
      - `StreetName` string — Name of a street or thoroughfare.
      - `BuildingNumber` string — Number that identifies the position of a building on a street.
      - `BuildingName` string — Name of a referenced building.
      - `Floor` string — Number that identifies the level within a building
      - `UnitNumber` string — Number that identifies the unit of a specific address .
      - `Room` string — Information that locates and identifies a room to form part of an address
      - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
      - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
      - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
      - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
      - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
      - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
      - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
      - `Country` string — Nation with its own government.
      - `AddressLine` string[]

## Response `201`

International Standing Order Consents Created

- OBWriteInternationalStandingOrderConsentResponse7
  - `Data` object, required
    - `ConsentId` string, required — OB: Unique identification as assigned by the ASPSP to uniquely identify the consent resource.
    - `CreationDateTime` string, date-time, required — Date and time at which the resource was created. All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
    - `Status` 'AWAU' | 'RJCT' | 'AUTH' | 'COND', required — Specifies the status of consent resource in code form. For a full list of values refer to `OBInternalConsentStatus2Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
    - `StatusReason` OBStatusReason[]
      - `StatusReasonCode` string — Specifies the status reason in a code form. For a full list of values refer to `OBExternalStatusReason1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `StatusReasonDescription` string — Description supporting the StatusReasonCode.
      - `Path` string — Path is optional but relevant when the status reason refers to an object/field and hence conditional to provide JSON path.
    - `StatusUpdateDateTime` string, date-time, required — Date and time at which the resource status was updated. All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
    - `Permission` 'Create', required — Specifies the Open Banking service request types.
    - `ReadRefundAccount` 'No' | 'Yes' — Specifies to share the refund account details with PISP
    - `CutOffDateTime` string, date-time — Specified cut-off date and time for the payment consent. All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
    - `Charges` object[]
      - `ChargeBearer` 'BorneByCreditor' | 'BorneByDebtor' | 'FollowingServiceLevel' | 'Shared', required — Specifies which party/parties will bear the charges associated with the processing of the payment transaction. For a full list of values refer to `OBInternalChargeBearerType1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `Type` string, required — Charge type, in a coded form. For a full list of values refer to `OBInternalPaymentChargeType1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `Amount` OBActiveOrHistoricCurrencyAndAmount, required — Amount of money associated with the charge type.
        - `Amount` string, required — A number of monetary units specified in an active currency where the unit of currency is explicit and compliant with ISO 4217.
        - `Currency` string, required — A code allocated to a currency by a Maintenance Agency under an international identification scheme, as described in the latest edition of the international standard ISO 4217 "Codes for the representation of currencies and funds".
    - `Initiation` object, required — The Initiation payload is sent by the initiating party to the ASPSP. It is used to request movement of funds from the debtor account to a creditor for an international standing order.
      - `RemittanceInformation` OBRemittanceInformation2 — Information supplied to enable the matching of an entry with the items that the transfer is intended to settle, such as commercial invoices in an accounts' receivable system
        - `Structured` OBRemittanceInformationStructured[]
          - `ReferredDocumentInformation` OBReferredDocumentInformation[]
            - `Code` 'CINV' | 'CNFA' | 'CONT' | 'CREN' | 'DEBN' | 'DISP' | 'DNFA' | 'HIRI' | 'INVS' | 'MSIN' | 'PROF' | 'PUOR' | 'QUOT' | 'SBIN' | 'SPRR' | 'TISH' — Specifies the document type as published in an external document type code list. For more information see `ExternalDocumentType1Code` in *ISO_External_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
            - `Issuer` string — Identification of the issuer of the reference document type.
            - `Number` string — Identification of the type specified for the referred document line.
            - `RelatedDate` string, date-time — Date associated with the referred document line.
            - `LineDetails` string[] — Set of elements used to provide the content of the referred document line.
          - `ReferredDocumentAmount` string — A number of monetary units specified in an active currency where the unit of currency is explicit and compliant with ISO 4217.
          - `CreditorReferenceInformation` object — Reference information provided by the creditor to allow the identification of the underlying documents.
            - `Code` 'DISP' | 'FXDR' | 'PUOR' | 'RPIN' | 'RADM' | 'SCOR' — Specifies the type of creditor reference as published in an external creditor reference type code set. For more information see `ExternalCreditorReferenceType1Code` in *ISO_External_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
            - `Issuer` string — Entity that assigns the identification.
            - `Reference` string — Unique reference, as assigned by the creditor, to unambiguously refer to the payment transaction.
          - `Invoicer` string — Identification of the organisation issuing the invoice, when it is different from the creditor or ultimate creditor
          - `Invoicee` string — Identification of the party to whom an invoice is issued, when it is different from the debtor or ultimate debtor.
          - `TaxRemittance` string — Provides remittance information about a payment made for tax-related purposes.
          - `AdditionalRemittanceInformation` string[] — Additional information, in free text form, to complement the structured remittance information.
        - `Unstructured` string[] — Information supplied to enable the matching/reconciliation of an entry with the items that the payment is intended to settle, such as commercial invoices in an accounts' receivable system, in an unstructured form.
      - `NumberOfPayments` string — Number of the payments that will be made in completing this frequency sequence including any executed since the sequence start date.
      - `ExtendedPurpose` string — Specifies the purpose of an international payment, when there is no corresponding 4 character code available in the ISO20022 list of Purpose Codes.
      - `ChargeBearer` 'BorneByCreditor' | 'BorneByDebtor' | 'FollowingServiceLevel' | 'Shared' — Specifies which party/parties will bear the charges associated with the processing of the payment transaction. For a full list of values refer to `OBInternalChargeBearerType1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `CurrencyOfTransfer` string, required — Specifies the currency of the to be transferred amount, which is different from the currency of the debtor's account.
      - `DestinationCountryCode` string — Country in which Credit Account is domiciled. Code to identify a country, a dependency, or another area of particular geopolitical interest, on the basis of country names obtained from the United Nations (ISO 3166, Alpha-2 code).
      - `InstructedAmount` object, required — Amount of money to be moved between the debtor and creditor, before deduction of charges, expressed in the currency as ordered by the initiating party. Usage: This amount has to be transported unchanged through the transaction chain.
        - `Amount` string, required — A number of monetary units specified in an active currency where the unit of currency is explicit and compliant with ISO 4217.
        - `Currency` string, required — A code allocated to a currency by a Maintenance Agency under an international identification scheme, as described in the latest edition of the international standard ISO 4217 "Codes for the representation of currencies and funds".
      - `DebtorAccount` object — Provides the details to identify the debtor account.
        - `SchemeName` string, required — Name of the identification scheme, in a coded form as published in an external list. For a full list of values refer to `OBInternalAccountIdentification4Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `Identification` string, required — Identification assigned by an institution to identify an account. This identification is known by the account owner.
        - `Name` string — The account name is the name or names of the account owner(s) represented at an account level, as displayed by the ASPSP's online channels. Note, the account name is not the product name or the nickname of the account.
        - `SecondaryIdentification` string — This is secondary identification of the account, as assigned by the account servicing institution. This can be used by building societies to additionally identify accounts with a roll number (in addition to a sort code and account number combination).
        - `Proxy` OBProxy1 — Specifies an alternate assumed name for the identification of the account.
          - `Identification` string, required — Identification used to indicate the account identification under another specified name.
          - `Code` 'TELE' | 'EMAL' | 'DNAM' | 'CINC' | 'COTX' | 'COID' | 'CUST' | 'DRLC' | 'EIDN' | 'EWAL' | 'PVTX' | 'LEIC' | 'MBNO' | 'NIDN' | 'CCPT' | 'SHID' | 'SOSE' | 'TOKN' | 'UBIL' | 'VIPN' | 'BIID', required — Specifies the external proxy account type code, as published in the proxy account type external code set.<br /> For a full list of values see `ExternalProxyAccountType1Code` in *ISO_External_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
          - `Type` string — Type of the proxy identification.
      - `Creditor` object — Party to which an amount of money is due.
        - `Name` string — Name by which a party is known and which is usually used to identify that party.
        - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
        - `PostalAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
          - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
          - `Department` string — Identification of a division of a large organisation or building.
          - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
          - `StreetName` string — Name of a street or thoroughfare.
          - `BuildingNumber` string — Number that identifies the position of a building on a street.
          - `BuildingName` string — Name of a referenced building.
          - `Floor` string — Number that identifies the level within a building
          - `UnitNumber` string — Number that identifies the unit of a specific address .
          - `Room` string — Information that locates and identifies a room to form part of an address
          - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
          - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
          - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
          - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
          - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
          - `Country` string — Nation with its own government.
          - `AddressLine` string[]
      - `CreditorAgent` object — Party that manages the account on behalf of the account owner, that is manages the registration and booking of entries on the account, calculates balances on the account and provides information about the account. This is the servicer of the beneficiary account.
        - `SchemeName` string — Name of the identification scheme, in a coded form as published in an external list.
        - `Identification` string — Unique and unambiguous identification of the servicing institution.
        - `Name` string — Name by which an agent is known and which is usually used to identify that agent.
        - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
        - `PostalAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
          - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
          - `Department` string — Identification of a division of a large organisation or building.
          - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
          - `StreetName` string — Name of a street or thoroughfare.
          - `BuildingNumber` string — Number that identifies the position of a building on a street.
          - `BuildingName` string — Name of a referenced building.
          - `Floor` string — Number that identifies the level within a building
          - `UnitNumber` string — Number that identifies the unit of a specific address .
          - `Room` string — Information that locates and identifies a room to form part of an address
          - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
          - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
          - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
          - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
          - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
          - `Country` string — Nation with its own government.
          - `AddressLine` string[]
      - `CreditorAccount` object, required — Provides the details to identify the beneficiary account.
        - `SchemeName` string, required — Name of the identification scheme, in a coded form as published in an external list. For a full list of values refer to `OBInternalAccountIdentification4Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `Identification` string, required — Identification assigned by an institution to identify an account. This identification is known by the account owner.
        - `Name` string, required — The account name is the name or names of the account owner(s) represented at an account level. Note, the account name is not the product name or the nickname of the account. OB: ASPSPs may carry out name validation for Confirmation of Payee, but it is not mandatory.
        - `SecondaryIdentification` string — This is secondary identification of the account, as assigned by the account servicing institution. This can be used by building societies to additionally identify accounts with a roll number (in addition to a sort code and account number combination).
        - `Proxy` OBProxy1 — Specifies an alternate assumed name for the identification of the account.
          - `Identification` string, required — Identification used to indicate the account identification under another specified name.
          - `Code` 'TELE' | 'EMAL' | 'DNAM' | 'CINC' | 'COTX' | 'COID' | 'CUST' | 'DRLC' | 'EIDN' | 'EWAL' | 'PVTX' | 'LEIC' | 'MBNO' | 'NIDN' | 'CCPT' | 'SHID' | 'SOSE' | 'TOKN' | 'UBIL' | 'VIPN' | 'BIID', required — Specifies the external proxy account type code, as published in the proxy account type external code set.<br /> For a full list of values see `ExternalProxyAccountType1Code` in *ISO_External_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
          - `Type` string — Type of the proxy identification.
      - `UltimateCreditor` OBUltimateCreditor1 — Ultimate party to which an amount of money is due.
        - `Name` string — Name by which a party is known and which is usually used to identify that party.
        - `Identification` string — Identification assigned by an institution.
        - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
        - `SchemeName` string — Name of the identification scheme, in a coded form as published in an external list. For a full list of values refer to `OBInternalAccountIdentification4Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `PostalAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
          - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
          - `Department` string — Identification of a division of a large organisation or building.
          - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
          - `StreetName` string — Name of a street or thoroughfare.
          - `BuildingNumber` string — Number that identifies the position of a building on a street.
          - `BuildingName` string — Name of a referenced building.
          - `Floor` string — Number that identifies the level within a building
          - `UnitNumber` string — Number that identifies the unit of a specific address .
          - `Room` string — Information that locates and identifies a room to form part of an address
          - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
          - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
          - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
          - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
          - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
          - `Country` string — Nation with its own government.
          - `AddressLine` string[]
      - `UltimateDebtor` OBUltimateDebtor1 — Ultimate party that owes an amount of money to the (ultimate) creditor.
        - `Name` string — Name by which a party is known and which is usually used to identify that party.
        - `Identification` string — Identification assigned by an institution.
        - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
        - `SchemeName` string — Name of the identification scheme, in a coded form as published in an external list. For a full list of values refer to `OBInternalAccountIdentification4Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `PostalAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
          - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
          - `Department` string — Identification of a division of a large organisation or building.
          - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
          - `StreetName` string — Name of a street or thoroughfare.
          - `BuildingNumber` string — Number that identifies the position of a building on a street.
          - `BuildingName` string — Name of a referenced building.
          - `Floor` string — Number that identifies the level within a building
          - `UnitNumber` string — Number that identifies the unit of a specific address .
          - `Room` string — Information that locates and identifies a room to form part of an address
          - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
          - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
          - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
          - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
          - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
          - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
          - `Country` string — Nation with its own government.
          - `AddressLine` string[]
      - `RegulatoryReporting` OBRegulatoryReporting1[]
        - `DebitCreditReportingIndicator` 'CRED' | 'DEBT' | 'BOTH' — Identifies whether the regulatory reporting information applies to the debit side, to the credit side or to both debit and credit sides of the transaction. For a full list of values refer to `OBExternalRegulatoryReportingType1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `Authority` OBRegulatoryAuthority2 — Entity requiring the regulatory reporting information.
          - `Name` string — Name of the entity requiring the regulatory reporting information.
          - `CountryCode` string — Nation with its own government.
        - `Details` OBStructuredRegulatoryReporting3[]
          - `Type` string — Specifies the type of the information supplied in the regulatory reporting details
          - `Date` string, date-time — All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
          - `Country` string — Nation with its own government.
          - `Amount` OBActiveOrHistoricCurrencyAndAmount — Amount of money associated with the charge type.
            - `Amount` string, required — A number of monetary units specified in an active currency where the unit of currency is explicit and compliant with ISO 4217.
            - `Currency` string, required — A code allocated to a currency by a Maintenance Agency under an international identification scheme, as described in the latest edition of the international standard ISO 4217 "Codes for the representation of currencies and funds".
          - `Information` string[] — Additional details that cater for specific domestic regulatory requirements.
      - `MandateRelatedInformation` OBMandateRelatedInformation1, required
        - `MandateIdentification` string — Unique identification, as assigned by the creditor, to unambiguously identify the mandate.
        - `Classification` 'FIXE' | 'USGB' | 'VARI'
        - `CategoryPurposeCode` 'BONU' | 'CASH' | 'CBLK' | 'CCRD' | 'CGWV' | 'CIPC' | 'CONC' | 'CORT' | 'DCRD' | 'DIVI' | 'DVPM' | 'EPAY' | 'FCDT' | 'FCIN' | 'FCOL' | 'GOVT' | 'GP2P' | 'HEDG' | 'ICCP' | 'IDCP' | 'INTC' | 'INTE' | 'LBOX' | 'LOAN' | 'MP2B' | 'MP2P' | 'OTHR' | 'PENS' | 'RPRE' | 'RRCT' | 'RVPM' | 'SALA' | 'SECU' | 'SSBE' | 'SUPP' | 'SWEP' | 'TAXS' | 'TOPG' | 'TRAD' | 'TREA' | 'VATX' | 'VOST' | 'WHLD' | 'ZABA' — Enumeration of codes that outlines the type of purpose behind a transaction, payment or risk. For all enum values see `ExternalCategoryPurpose1Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
        - `FirstPaymentDateTime` string, date-time
        - `RecurringPaymentDateTime` string, date-time — The date on which the first recurring payment for a Standing Order schedule will be made. Usage: This must be populated only if the first recurring date is different to the first payment date. All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
        - `FinalPaymentDateTime` string, date-time
        - `Frequency` OBFrequency6, required — Regularity with which credit transfer instructions are to be created and processed
          - `Type` union, required
            - 'ADHO' | 'YEAR' | 'DAIL' | 'FRTN' | 'INDA' | 'MNTH' | 'QURT' | 'MIAN' | 'WEEK' | 'WODL' | 'FOWK' | 'TWMH' | 'FOMH' | 'FIMH' | 'ALMH' | 'NONE' | 'LWMH' | 'LXMH' | 'TWYR' — For a full list of values see `OBFrequency6Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
            - string — Individual Definitions: NotKnown - Not Known EvryDay - Every day EvryWorkgDay - Every working day IntrvlDay - An interval specified in number of calendar days (02 to 31) IntrvlWkDay - An interval specified in weeks (01 to 09), and the day within the week (01 to 07) WkInMnthDay - A monthly interval, specifying the week of the month (01 to 05) and day within the week (01 to 07) IntrvlMnthDay - An interval specified in months (between 01 to 06, 12, 24), specifying the day within the month (-05 to -01, 01 to 31) QtrDay - Quarterly (either ENGLISH, SCOTTISH, or RECEIVED) ENGLISH = Paid on the 25th March, 24th June, 29th September and 25th December. SCOTTISH = Paid on the 2nd February, 15th May, 1st August and 11th November. RECEIVED = Paid on the 20th March, 19th June, 24th September and 20th December. Individual Patterns: NotKnown (ScheduleCode) EvryDay (ScheduleCode) EvryWorkgDay (ScheduleCode) IntrvlDay:NoOfDay (ScheduleCode + NoOfDay) IntrvlWkDay:IntervalInWeeks:DayInWeek (ScheduleCode + IntervalInWeeks + DayInWeek) WkInMnthDay:WeekInMonth:DayInWeek (ScheduleCode + WeekInMonth + DayInWeek) IntrvlMnthDay:IntervalInMonths:DayInMonth (ScheduleCode + IntervalInMonths + DayInMonth) QtrDay: + either (ENGLISH, SCOTTISH or RECEIVED) ScheduleCode + QuarterDay The regular expression for this element combines five smaller versions for each permitted pattern. To aid legibility - the components are presented individually here: NotKnown EvryDay EvryWorkgDay IntrvlDay:((0[2-9])|([1-2][0-9])|3[0-1]) IntrvlWkDay:0[1-9]:0[1-7] WkInMnthDay:0[1-5]:0[1-7] IntrvlMnthDay:(0[1-6]|12|24):(-0[1-5]|0[1-9]|[12][0-9]|3[01]) QtrDay:(ENGLISH|SCOTTISH|RECEIVED) Full Regular Expression: ^(NotKnown)$|^(EvryDay)$|^(EvryWorkgDay)$|^(IntrvlDay:((0[2-9])|([1-2][0-9])|3[0-1]))$|^(IntrvlWkDay:0[1-9]:0[1-7])$|^(WkInMnthDay:0[1-5]:0[1-7])$|^(IntrvlMnthDay:(0[1-6]|12|24):(-0[1-5]|0[1-9]|[12][0-9]|3[01]))$|^(QtrDay:(ENGLISH|SCOTTISH|RECEIVED))$
          - `CountPerPeriod` integer — Number of instructions to be created and processed during the specified period .Specifies a frequency in terms of a count per period within a specified frequency type. Note: should not be used alongside `PointInTime`
          - `PointInTime` string — Exact2NumericText - Further information on the exact point in time the event should take place. Specifies a frequency in terms of an exact point in time or moment within a specified frequency type. Note: should not be used alongside `CountPerPeriod`.
        - `Reason` string — Reason for the direct debit mandate to allow the user to distinguish between different mandates for the same creditor.
      - `SupplementaryData` OBSupplementaryData1 — Additional information that can not be captured in the structured fields and/or any other specific block.
    - `Authorisation` object — The authorisation type request from the TPP.
      - `AuthorisationType` 'Any' | 'Single', required — Type of authorisation flow requested.
      - `CompletionDateTime` string, date-time — Date and time at which the requested authorisation flow must be completed. All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
    - `SCASupportData` OBSCASupportData1 — Supporting Data provided by TPP, when requesting SCA Exemption.
      - `RequestedSCAExemptionType` 'BillPayment' | 'ContactlessTravel' | 'EcommerceGoods' | 'EcommerceServices' | 'Kiosk' | 'Parking' | 'PartyToParty' — This field allows a PISP to request specific SCA Exemption for a Payment Initiation. For a full list of values refer to `OBInternalSCAExemptionType1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `AppliedAuthenticationApproach` 'CA' | 'SCA' — Specifies a character string with a maximum length of 40 characters. Usage: This field indicates whether the PSU was subject to SCA performed by the TPP For a full list of values refer to `OBInternalAppliedAuthenticationApproach1Code` in *OB_Internal_CodeSet* [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
      - `ReferencePaymentOrderId` string — If the payment is recurring, then this field is populated with the transaction identifier of the previous payment occurrence so that the ASPSP can verify that the PISP, amount and the payee are the same as the previous occurrence. The value here refers to the payment id e.g. DomesticPaymentId
    - `Debtor` OBCashAccountDebtor4 — ^ Only included in the response if `Data. ReadRefundAccount` is set to `Yes` in the consent.
      - `SchemeName` string — ^ Name of the identification scheme, in a coded form as published in an external list. | Namespaced Enumeration OBInternalAccountIdentification4Code
      - `Identification` string — ^ Identification assigned by an institution to identify an account. This identification is known by the account owner. | Max256Text
      - `Name` string — ^ Name of the account, as assigned by the account servicing institution. Usage The account name is the name or names of the account owner(s) represented at an account level. The account name is not the product name or the nickname of the account.
      - `SecondaryIdentification` string — ^ This is secondary identification of the account, as assigned by the account servicing institution. This can be used by building societies to additionally identify accounts with a roll number (in addition to a sort code and account number combination) | Max34Text
      - `LEI` string — Legal entity identification as an alternate identification for a party. Legal Entity Identifier is a code allocated to a party as described in ISO 17442 "Financial Services - Legal Entity Identifier (LEI)".
  - `Risk` OBRisk1, required — The Risk section is sent by the initiating party to the ASPSP. It is used to specify additional details for risk scoring for Payments.
    - `PaymentContextCode` 'BillingGoodsAndServicesInAdvance' | 'BillingGoodsAndServicesInArrears' | 'EcommerceMerchantInitiatedPayment' | 'FaceToFacePointOfSale' | 'TransferToSelf' | 'TransferToThirdParty' | 'BillPayment' | 'EcommerceGoods' | 'EcommerceServices' | 'PartyToParty' | 'PispPayee' | 'Other' — Specifies the payment context, `OBInternalPaymentContext1Code`<br> The following values are deprecated and <u>**must not**</u> be used in a new consent or payment. They may optionally be returned for a historical payment/consent migrated to v4:<br> * BillPayment - @deprecated * EcommerceGoods - @deprecated * EcommerceServices - @deprecated * PartyToParty - @deprecated * PispPayee - @deprecated * Other - @deprecated
    - `MerchantCategoryCode` string — Category code conform to ISO 18245, related to the type of services or goods the merchant provides for the transaction.
    - `MerchantCustomerIdentification` string — The unique customer identifier of the PSU with the merchant.
    - `ContractPresentIndicator` boolean — Indicates if Payee has a contractual relationship with the PISP.
    - `BeneficiaryPrepopulatedIndicator` boolean — Indicates if PISP has immutably prepopulated payment details in for the PSU.
    - `PaymentPurposeCode` 'BKDF' | 'BKFE' | 'BKFM' | 'BKIP' | 'BKPP' | 'CBLK' | 'CDCB' | 'CDCD' | 'CDCS' | 'CDDP' | 'CDOC' | 'CDQC' | 'ETUP' | 'FCOL' | 'MTUP' | 'ACCT' | 'CASH' | 'COLL' | 'CSDB' | 'DEPT' | 'INTC' | 'INTP' | 'LIMA' | 'NETT' | 'BFWD' | 'CCIR' | 'CCPC' | 'CCPM' | 'CCSM' | 'CRDS' | 'CRPR' | 'CRSP' | 'CRTL' | 'EQPT' | 'EQUS' | 'EXPT' | 'EXTD' | 'FIXI' | 'FWBC' | 'FWCC' | 'FWSB' | 'FWSC' | 'MARG' | 'MBSB' | 'MBSC' | 'MGCC' | 'MGSC' | 'OCCC' | 'OPBC' | 'OPCC' | 'OPSB' | 'OPSC' | 'OPTN' | 'OTCD' | 'REPO' | 'RPBC' | 'RPCC' | 'RPSB' | 'RPSC' | 'RVPO' | 'SBSC' | 'SCIE' | 'SCIR' | 'SCRP' | 'SHBC' | 'SHCC' | 'SHSL' | 'SLEB' | 'SLOA' | 'SWBC' | 'SWCC' | 'SWPT' | 'SWSB' | 'SWSC' | 'TBAS' | 'TBBC' | 'TBCC' | 'TRCP' | 'AGRT' | 'AREN' | 'BEXP' | 'BOCE' | 'COMC' | 'CPYR' | 'GDDS' | 'GDSV' | 'GSCB' | 'LICF' | 'MP2B' | 'POPE' | 'ROYA' | 'SCVE' | 'SERV' | 'SUBS' | 'SUPP' | 'TRAD' | 'CHAR' | 'COMT' | 'MP2P' | 'ECPG' | 'ECPR' | 'ECPU' | 'EPAY' | 'CLPR' | 'COMP' | 'DBTC' | 'GOVI' | 'HLRP' | 'HLST' | 'INPC' | 'INPR' | 'INSC' | 'INSU' | 'INTE' | 'LBRI' | 'LIFI' | 'LOAN' | 'LOAR' | 'PENO' | 'PPTI' | 'RELG' | 'RINP' | 'TRFD' | 'FORW' | 'FXNT' | 'ADMG' | 'ADVA' | 'BCDM' | 'BCFG' | 'BLDM' | 'BNET' | 'CBFF' | 'CBFR' | 'CCRD' | 'CDBL' | 'CFEE' | 'CGDD' | 'CORT' | 'COST' | 'CPKC' | 'DCRD' | 'DSMT' | 'DVPM' | 'EDUC' | 'FACT' | 'FAND' | 'FCPM' | 'FEES' | 'GIFT' | 'GOVT' | 'ICCP' | 'IDCP' | 'IHRP' | 'INSM' | 'IVPT' | 'MCDM' | 'MCFG' | 'MSVC' | 'NOWS' | 'OCDM' | 'OCFG' | 'OFEE' | 'OTHR' | 'PADD' | 'PTSP' | 'RCKE' | 'RCPT' | 'REBT' | 'REFU' | 'RENT' | 'REOD' | 'RIMB' | 'RPNT' | 'RRBN' | 'RRCT' | 'RRTP' | 'RVPM' | 'SLPI' | 'SPLT' | 'STDY' | 'TBAN' | 'TBIL' | 'TCSC' | 'TELI' | 'TMPG' | 'TPRI' | 'TPRP' | 'TRNC' | 'TRVC' | 'WEBI' | 'IPAY' | 'IPCA' | 'IPDO' | 'IPEA' | 'IPEC' | 'IPEW' | 'IPPS' | 'IPRT' | 'IPU2' | 'IPUW' | 'ANNI' | 'CAFI' | 'CFDI' | 'CMDT' | 'DERI' | 'DIVD' | 'FREX' | 'HEDG' | 'INVS' | 'PRME' | 'SAVG' | 'SECU' | 'SEPI' | 'TREA' | 'UNIT' | 'FNET' | 'FUTR' | 'ANTS' | 'CVCF' | 'DMEQ' | 'DNTS' | 'HLTC' | 'HLTI' | 'HSPC' | 'ICRF' | 'LTCF' | 'MAFC' | 'MARF' | 'MDCS' | 'VIEW' | 'CDEP' | 'SWFP' | 'SWPP' | 'SWRS' | 'SWUF' | 'ADCS' | 'AEMP' | 'ALLW' | 'ALMY' | 'BBSC' | 'BECH' | 'BENE' | 'BONU' | 'CCHD' | 'COMM' | 'CSLP' | 'GFRP' | 'GVEA' | 'GVEB' | 'GVEC' | 'GVED' | 'GWLT' | 'HREC' | 'PAYR' | 'PEFC' | 'PENS' | 'PRCP' | 'RHBS' | 'SALA' | 'SPSP' | 'SSBE' | 'LBIN' | 'LCOL' | 'LFEE' | 'LMEQ' | 'LMFI' | 'LMRK' | 'LREB' | 'LREV' | 'LSFL' | 'ESTX' | 'FWLV' | 'GSTX' | 'HSTX' | 'INTX' | 'NITX' | 'PTXP' | 'RDTX' | 'TAXS' | 'VATX' | 'WHLD' | 'TAXR' | 'B112' | 'BR12' | 'TLRF' | 'TLRR' | 'AIRB' | 'BUSB' | 'FERB' | 'RLWY' | 'TRPT' | 'CBTV' | 'ELEC' | 'ENRG' | 'GASB' | 'NWCH' | 'NWCM' | 'OTLC' | 'PHON' | 'UBIL' | 'WTER' | 'BOND' | 'CABD' | 'CAEQ' | 'CBCR' | 'DBCR' | 'DICL' | 'EQTS' | 'FLCR' | 'EFTC' | 'EFTD' | 'MOMA' | 'RAPI' | 'GAMB' | 'LOTT' | 'AMEX' | 'SASW' | 'AUCO' | 'PCOM' | 'PDEP' | 'PLDS' | 'PLRF' | 'GAFA' | 'GAHO' | 'CPEN' | 'DEPD' | 'RETL' | 'DEBT' | 'CRYP' — This is a partial list, For a full list see `ExternalPurpose1Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
    - `CategoryPurposeCode` 'BONU' | 'CASH' | 'CBLK' | 'CCRD' | 'CGWV' | 'CIPC' | 'CONC' | 'CORT' | 'DCRD' | 'DIVI' | 'DVPM' | 'EPAY' | 'FCDT' | 'FCIN' | 'FCOL' | 'GOVT' | 'GP2P' | 'HEDG' | 'ICCP' | 'IDCP' | 'INTC' | 'INTE' | 'LBOX' | 'LOAN' | 'MP2B' | 'MP2P' | 'OTHR' | 'PENS' | 'RPRE' | 'RRCT' | 'RVPM' | 'SALA' | 'SECU' | 'SSBE' | 'SUPP' | 'SWEP' | 'TAXS' | 'TOPG' | 'TRAD' | 'TREA' | 'VATX' | 'VOST' | 'WHLD' | 'ZABA' — Enumeration of codes that outlines the type of purpose behind a transaction, payment or risk. For all enum values see `ExternalCategoryPurpose1Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets)
    - `BeneficiaryAccountType` 'Business' | 'BusinessSavingsAccount' | 'Charity' | 'Collection' | 'Corporate' | 'Ewallet' | 'Government' | 'Investment' | 'ISA' | 'JointPersonal' | 'Pension' | 'Personal' | 'PersonalSavingsAccount' | 'Premier' | 'Wealth' — Specifies the extended type of account.
    - `DeliveryAddress` OBPostalAddress7 — Information that locates and identifies a specific address, as defined by postal services.
      - `AddressType` 'BIZZ' | 'DLVY' | 'MLTO' | 'PBOX' | 'ADDR' | 'HOME' | 'CORR' | 'STAT' — Identifies the nature of the postal address. For a full set of codes see `OBAddressType2Code` [here](https://github.com/OpenBankingUK/External_Internal_CodeSets).
      - `Department` string — Identification of a division of a large organisation or building.
      - `SubDepartment` string — Identification of a sub-division of a large organisation or building.
      - `StreetName` string — Name of a street or thoroughfare.
      - `BuildingNumber` string — Number that identifies the position of a building on a street.
      - `BuildingName` string — Name of a referenced building.
      - `Floor` string — Number that identifies the level within a building
      - `UnitNumber` string — Number that identifies the unit of a specific address .
      - `Room` string — Information that locates and identifies a room to form part of an address
      - `PostBox` string — Information that locates and identifies a box in a post office assigned to a person or organization, where letters for them are kept until called for.
      - `TownLocationName` string — Name of a built-up area, with defined boundaries, and a local government.
      - `DistrictName` string — Number that of the regional area, known as a district, which forms part of an address
      - `CareOf` string — The 'care of' address is used whenever sending mail to a person or organisation who does not actually live or work at the address. They will receive the mail for the individual.
      - `PostCode` string — Identifier consisting of a group of letters and/or numbers that is added to a postal address to assist the sorting of mail.
      - `TownName` string — Name of a built-up area, with defined boundaries, and a local government.
      - `CountrySubDivision` string — Identifies a subdivision of a country such as state, region, county.
      - `Country` string — Nation with its own government.
      - `AddressLine` string[]
  - `Links` Links — Links relevant to the payload
    - `Self` string, uri, required
    - `First` string, uri
    - `Prev` string, uri
    - `Next` string, uri
    - `Last` string, uri
  - `Meta` Meta — Meta Data relevant to the payload
    - `TotalPages` integer
    - `FirstAvailableDateTime` string, date-time — All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00
    - `LastAvailableDateTime` string, date-time — All dates in the JSON payloads are represented in ISO 8601 date-time format. All date-time fields in responses must include the timezone. An example is below: 2017-04-05T10:43:07+00:00

## Other responses

- `400` — Bad request
- `401` — Unauthorized
- `403` — Forbidden
- `404` — Not found
- `405` — Method Not Allowed
- `406` — Not Acceptable
- `409` — Conflict
- `415` — Unsupported Media Type
- `422` — Duplicate Idempotency key
- `429` — Too Many Requests
- `500` — Internal Server Error

---

[API](https://skmtc.net/openbankinguk/apis/payment-initiation-api.md) · [All operations](https://skmtc.net/openbankinguk/apis/payment-initiation-api/llms.txt) · [OpenAPI document](https://skmtc-service-staging.skmtc.workers.dev/v1/apis/openbankinguk/payment-initiation-api/revisions/01d3ec5eb703/schema)
