Hong Kong tokenized-deposit treasury settlement
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1/6
https://gcm.hsbc.com.hk/tokenized-deposits/ops
Tokenized deposits operations
HSBC Hong Kong
Perimeter checked
Mandate summary
Programme ID
Money form
Tokenized deposit
Currency
HKD
Corporate treasury client
Ant International
Issuer / settlement bank
HSBC Hong Kong
Destination bank
Destination domestic bank
Reference layer
EnsembleTX
Finality rail
HKD CHATS
Fee schedule
Bank service fee
Scenario HKD service charge accrued
Close basis
Destination confirmation and close record
Participant scope
Ant International
Originating treasury client on this HKD transfer; mandate and release request come from this participant.
Mandated
Destination domestic bank
Destination institution on the Hong Kong route; signed credit confirmation must clear before settlement can close.
Approved
EnsembleTX
Shared reference layer for the interbank transfer state and downstream status match.
Linked
HKD CHATS
Cash-side finality rail; settlement closes only after the CHATS evidence package is matched.
Available
Control profile
Allowed movement
Cross-bank HKD treasury settlement
Wallet scope
Destination posture
Signed confirmation required
Release discipline
Maker-checker and cutoff match
Close basis
CHATS finality and reconciliation pack
Evidence · 3/3
  • Programme mandate snapshot
  • Participant coverage record
  • Route-scope record
Programme perimeter
    • POST
      Register treasury instruction
      /v1/treasury/transfer-instructions
      202
      → out2026-04-21 01:12:00Z184ms546B
      Ant International treasury registers the governed HKD transfer mandate with HSBC Hong Kong.
    • GET
      Load programme scope
      /v1/tokenized-deposits/programmes/prg_hk_hsbc_td_017
      200
      ↻ poll2026-04-21 01:12:38Z92ms204B
      HSBC validates programme scope, route capability, and wallet boundaries before funding is exposed.
    • POST
      Confirm wallet boundary
      /callbacks/treasury/programme-scope-confirmations
      202
      ⇠ webhook2026-04-21 01:13:16Z118ms345B
      HSBC confirms wallet scope and destination posture back to the treasury platform for the active run.
Configure
Ant International / HSBC Hong Kong / EnsembleTX · treasury settlementBase

HSBC Hong Kong settles one HKD treasury transfer for Ant International with EnsembleTX reference tracking, destination-bank confirmation, and HKD CHATS finality evidence. Funding, governed release, settlement confirmation, and reconciliation close stay on one controlled operating record.

Guide
Environment
Actors
Ant International treasury

Originator of the HKD treasury instruction and release request.

Pays scenario programme, issuance, governed-release, reference-tracking, and settlement close charges.

HSBC Hong Kong TDS ops

Issuing and settlement-bank desk controlling programme, funding, and governed release.

Earns scenario treasury-service, funding or issuance, release-control, and settlement-bank activity fees.

Destination bank ops

Destination-bank desk confirming credit receipt and exception posture.

May charge incoming-credit, account-service, return, or exception fees under the destination-bank schedule.

EnsembleTX

Shared transfer-state layer carrying the cross-bank settlement reference and status match.

Represents scenario reference-tracking and finality activity charges; no live integration pricing is claimed.

Settlement and reconciliation

Settlement trace owner matching EnsembleTX reference, HKD CHATS finality, and the reconciliation close record.

Books programme fees, bank charges, reference-provider lines, and the final treasury settlement close statement.