Bank & Currency Holidays
Define Valid Business Days Across Global Financial Systems
Systems Depend on Valid Business Days
Financial systems don’t operate on calendars. They operate on valid business days. When holiday data is wrong, payments fail, trades do not settle, and systems can process transactions on invalid dates, creating immediate operational risk.
Define Valid Business Days Across Currencies
Defines global currency holidays used to determine valid business days, settlement dates, and payment processing logic.
Extended coverage includes financial center (bank) holidays and payment system closures across global markets.
Structured with currency identifiers, financial center coverage, and calendar definitions for direct integration into settlement, payment, and validation systems.
Extend Coverage Across Banking and Payment Systems
Financial Center (Bank) Holidays
Defines when banking operations are open or closed across major financial centers. Applied where banking availability affects processing, settlement, or operational control.
Payment System Holidays
Defines domestic and cross-border payment system closures. Applied where payment system availability affects transaction processing and settlement.
Apply Holiday Data Across Systems
Holiday data is applied directly within:
- Payment processing systems
- Treasury and cash management systems
- Trade settlement systems
- Pre- and post-trade validation
Determines when payments are processed or held, how settlement dates are calculated, and how systems validate business days across markets.
Book a MeetingUsed Across Core Financial Systems
Production-ready formats, including TXT, XLS, CSV, XML, custom, and vendor-specific options.
Compatible across enterprise financial platforms and downstream infrastructure.
Trust Verified Market Holiday Data
Verified at source using central banks, payment systems, exchanges, and official government authorities.
Continuously monitored by a dedicated research team, with change alerts and replacement files issued when updates are confirmed.
Extend Market Holiday Coverage
Forward Holiday Coverage
Supports multi-year system configuration, planning, and forecasting.
Historical Holiday Data
Available as an add-on for audit, reconciliation, and compliance workflows.
Non-Standard Business Days
Includes working weekends, partial holidays, and irregular observances.
Time Zone and DST Data
Supports accurate holiday handling across regions and systems.
Complete Infrastructure for Global Market Operations
Bank & Currency Holidays
Defines valid business days across currencies, financial centers, and payment systems.
Exchange Holidays
Tracks market availability across global exchanges, including trading and settlement closures.
Trading Hours
Controls session-level execution timing across global cash and derivative markets.
T+ Exchange Settlement
Maps trade dates to valid settlement dates across global exchanges.
FX Spot Calendar
Applies FX value-date logic across currency pairs and settlement conventions.
Central Bank Meetings
Tracks policy meeting dates and decision timing across global monetary authorities.
Coming July 2026