Exchange Settlement Dates
Map Trade Dates to Valid Settlement Dates
Post-Trade Systems Depend on Valid Settlement Dates
T+ Exchange Settlement Calendar™ defines valid settlement dates across supported exchange settlement cycles, giving post-trade systems a reliable calendar for settlement processing, reconciliation, and downstream operations.
Map Trade Dates to Valid Settlement Dates
T+ Exchange Settlement Calendar™ maps trade dates to valid settlement dates across global exchanges.
Structured by exchange, settlement cycle, trade date, settlement date, and settlement notes, the data integrates directly into post trade workflows and enterprise operations infrastructure.
Trade Date Mapping
Maps trade dates to valid settlement dates across supported exchanges.
Settlement Cycles
Defines standard exchange settlement cycles, including T+1, T+2, and market-specific variations.
Settlement Date Validation
Reflects holidays, weekends, and confirmed settlement-cycle changes.
Apply Settlement Dates Across Systems
Valid settlement dates can be applied within:
- Trade settlement systems
- Post-trade processing platforms
- Reconciliation workflows
- Operations control systems
- Downstream financial infrastructure
Defines how trade dates map to valid settlement dates across supported exchange settlement cycles.
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Used Across Post-Trade Systems
Production-ready formats, including CSV, TXT, custom, and vendor-specific options.
Compatible across enterprise settlement platforms, reconciliation systems, and downstream infrastructure.
Trust Verified Settlement Date Mapping
Verified at source using exchanges and official market authorities. Continuously monitored by a dedicated research team, with updates issued when holidays, weekends, or settlement-cycle changes are confirmed.
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