Clearing / Session timetable
Clearing day timetable and scope of information distributed to participants – OTC trade
Clearing session timetable and clearing of transactions registered in the OTC clearing system (Day R)
NO. | Functions | Activities |
---|---|---|
1. |
Monitoring the effect of transactions accepted for clearing in the OTC clearing system on the degree of utilisation of the collateral limit or the credit limit. Accepting transactions: |
accepting transactions to the OTC clearing systemfrom 09:00 to 17:30 |
2. |
Monitoring the effect of transactions accepted for clearing in the OTC clearing system on the degree of utilisation of the collateral limit or the credit limit. Accepting repos to be settled on the day of acceptance for clearing in the OTC clearing system (R+0). |
accepting transactions to the OTC clearing system from 09:00 to 15:30 |
3. |
1/ Derivatives, |
netting session - processing starts at 17.30 |
4. |
Distributing post-clearing reports. |
sending transaction reports to a trade repository
according to Appendix 2 to the Rules of Transaction Clearing (Non-Organised Trading), § 10 of the OTC Guarantee Fund Rules and § 33 of the Detailed Rules of the OTC Clearing System |
Clearing session timetable and clearing of transactions registered in the OTC clearing system after Day R (Day R+1)
NO. | Functions | Activities |
---|---|---|
1. |
Payment of credits and debits of a clearing member in respect of contributions to the OTC Guarantee Fund and the member’s net credits and debits in respect of margins and marking to the market. |
debit transfers 15 minutes before the session opens |
Days with/without clearing session 2024
There will be no clearing of transactions in PLN in the OTC clearing system on the following days (other than Saturdays and Sundays):
Days | description |
---|---|
1 January (Monday) | Day without clearing of transactions and adjustment of payments in the system |
29 March (Friday) | ---------------------------------------------------------------- |
1 April (Monday) | Day without clearing of transactions and adjustment of payments in the system |
1 May (Wednesday) | Day without clearing of transactions and adjustment of payments in the system |
3 May (Friday) | Day without clearing of transactions and adjustment of payments in the system |
30 May (Thursday) | Day without clearing of transactions and adjustment of payments in the system |
15 August (Thursday) | Day without clearing of transactions and adjustment of payments in the system |
1 November (Friday) | Day without clearing of transactions and adjustment of payments in the system |
11 November (Monday) | Day without clearing of transactions and adjustment of payments in the system |
25 December (Wednesday) | Day without clearing of transactions and adjustment of payments in the system |
26 December (Thursday) | Day without clearing of transactions and adjustment of payments in the system |
There will be no clearing of transactions in EUR in the OTC clearing system on the following days (other than Saturdays and Sundays):
Days | description |
---|---|
1 January (Monday) | Day without clearing of transactions and adjustment of payments in the system |
29 March (Friday) | Additional day without clearing of transactions and adjustment of payments in the system |
1 April (Monday) | Day without clearing of transactions and adjustment of payments in the system |
1 May (Wednesday) | Day without clearing of transactions and adjustment of payments in the system |
25 December (Wednesday) | Day without clearing of transactions and adjustment of payments in the system |
26 December (Thursday) | Day without clearing of transactions and adjustment of payments in the system |
There will be clearing of transactions in EUR in the OTC clearing system on the following days:
Days | Description |
---|---|
3 May (Friday) | Additional day with clearing of transactions and adjustment of payments in the system Resolution No. 23/23 of the KDPW_CCP S.A. Management Board dated 28 November 2023 |
30 May (Thursday) | Additional day with clearing of transactions and adjustment of payments in the system Resolution No. 23/23 of the KDPW_CCP S.A. Management Board dated 28 November 2023 |
15 August (Thursday) | Additional day with clearing of transactions and adjustment of payments in the system Resolution No. 23/23 of the KDPW_CCP S.A. Management Board dated 28 November 2023 |
1 November (Friday) | Additional day with clearing of transactions and adjustment of payments in the system Resolution No. 23/23 of the KDPW_CCP S.A. Management Board dated 28 November 2023 |
11 November (Monday) | Additional day with clearing of transactions and adjustment of payments in the system Resolution No. 23/23 of the KDPW_CCP S.A. Management Board dated 28 November 2023 |