<?xml version="1.0" encoding="UTF-8" standalone="yes"?>
<!-- Generated by Swiss Commission for Financial Standardisation ( Arbeitsgruppe XML on 01.2002, published as Version 3.0, 09.2002 published unchanged as Version 3.1 -->
<!-- Appendix to document "Elektronische Gutschriftsanzeige in XML" published at (Swiss Interbank Clearing AG) -->
<Document xmlns="urn:swift:xsd:$Advices" xmlns:xsi=" xsi:schemaLocation="urn:swift:xsd:$Advices xmlcreadv_v31.xsd">
<Advices>
<Advice>
<AdviceID>Field A02</AdviceID>
<AdviceDate>
<!-- Date element (Field A05) -->
<Date>2001-05-16</Date>
</AdviceDate>
<!-- Date element (Field A06) -->
<MessageFunction>9</MessageFunction>
<AdvicedAccount>
<AccountID>
<Max35_Text>Field B04</Max35_Text>
</AccountID>
<Currency>Field A07</Currency>
<AccountOwner>
<Name>Field B07</Name>
</AccountOwner>
<AccountServicer>
<ClearingSystemNumber_Identifier>Field B03</ClearingSystemNumber_Identifier>
</AccountServicer>
<Entry>
<EntryID>Field B11</EntryID>
<!-- Date element (Field B13) -->
<EntryStatus>Booked</EntryStatus>
<EntryDate>
<!-- Date element (Field B01) -->
<Date>2001-05-16</Date>
</EntryDate>
<ValueDate>
<!-- Date element (Field B02) -->
<Date>2001-05-16</Date>
</ValueDate>
<!-- Field A01 -->
<Indicator>Credit</Indicator>
<!-- Fields B05 and B06 -->
<EntryAmount currencyCode="Field B05">9</EntryAmount>
<NotInterestEntry xsi:type="Charge">
<!-- Field B10 -->
<ChargeOption>BEN</ChargeOption>
<!-- Field B14 -->
<ChargeIncluded>true</ChargeIncluded>
<!-- Fields B07 and B08 -->
<ChargeAmount currencyCode="Field B08">9</ChargeAmount>
</NotInterestEntry>
<NotInterestEntry xsi:type="Transfer">
<TransferID>Field C25</TransferID>
<!-- Field C19 -->
<TransferReason>01</TransferReason>
<ProprietaryElement>
<MicrofilmNumber>Field C22</MicrofilmNumber>
<ImageReference>Field C26</ImageReference>
<FreeText>/CH:Delivery/Field C27/CH:Trx/Field C28/CH:Reject/Field C29/CH:Source/Field C30</FreeText>
</ProprietaryElement>
<!-- Fields C02 and C03 -->
<SinglePostedAmount currencyCode="Field C03">9</SinglePostedAmount>
<!-- Fields C06 and C07 -->
<TransferedAmount currencyCode="Field C06">9</TransferedAmount>
<PaymentInstruction>
<PaymentInstructionID>Field C21</PaymentInstructionID>
<!-- Field C23 -->
<PaymentInstructionDate>
<Date>2000-01-01</Date>
</PaymentInstructionDate>
<RemittanceInfo>
<Max35_Text>Field C20</Max35_Text>
<Max35_Text>Field C20</Max35_Text>
<Max35_Text>Field C20</Max35_Text>
<Max35_Text>Field C20</Max35_Text>
<Max35_Text>Field C20</Max35_Text>
</RemittanceInfo>
<TransactionBeneficiaryAccountID>
<BBAN_Identifier>Field C32</BBAN_Identifier>
</TransactionBeneficiaryAccountID>
<!-- Fields C04 and C05 -->
<InstructedAmount currencyCode="Field C04">9</InstructedAmount>
</PaymentInstruction>
<TransferOriginator>
<Name>Field C13 Structured Address Name</Name>
<StructuredAddressAndCareOfDetails>
<StructuredPostalAddressDetails>
<StreetName>Field C13 Structured Address Street</StreetName>
<TownName>Field C13 Structured Address City</TownName>
<PostOfficeBox>Field C13 Structured Address Postfach</PostOfficeBox>
<Country>Field C13 Structured Address Country</Country>
<PostCodeIdentifier>Field C13 Structured Address Postal Code</PostCodeIdentifier>
</StructuredPostalAddressDetails>
<CareOfDetails>
<Name>Field C13 In Care of Name</Name>
</CareOfDetails>
</StructuredAddressAndCareOfDetails>
</TransferOriginator>
<OriginatorsAccountOwner>
<FreeFormatPostalAddressDetails>
<AddressLine>Field C12 Unstructured Address 1</AddressLine>
<AddressLine>Field C12 Unstructured Address 2</AddressLine>
<AddressLine>Field C12 Unstructured Address 3</AddressLine>
<AddressLine>Field C12 Unstructured Address 4</AddressLine>
<AddressLine>Field C12 Unstructured Address 5</AddressLine>
</FreeFormatPostalAddressDetails>
</OriginatorsAccountOwner>
<Exchange>
<!-- Field C17 -->
<ExchangeDate>
<Date>200-01-01</Date>
</ExchangeDate>
<CurrencyChange>
<SourceCurrency>Field C31</SourceCurrency>
<ExchangeRate>
<!-- Field C16 -->
<Value>9</Value>
</ExchangeRate>
<!-- Fields C14 and C15 -->
<!-- <ChangeAmount currencyCode="Field C14">9</ChangeAmount> -->
</CurrencyChange>
</Exchange>
<Charge>
<!-- Field C01 -->
<ChargeOption>SHA</ChargeOption>
<!-- Cield C33 -->
<ChargeIncluded>false</ChargeIncluded>
<!-- Fields c08, C09, C10 and C11 -->
<ChargeAmount currencyCode="Field C08 and C10">9</ChargeAmount>
</Charge>
<UltimateBeneficiary>
<ID>
<Code>Field C18</Code>
<Description>Type of identifier</Description>
</ID>
</UltimateBeneficiary>
</NotInterestEntry>
</Entry>
</AdvicedAccount>
</Advice>
</Advices>
</Document>