Operational Information

Settlement times - Australia

Market Coverage | Australia

Reference

Service level
CBL | 6-series account | CEU OneClearstream
Last Updated
12.12.2025
This page contains Governing Information.

The deadlines shown below are valid provided that the client's instructions are complete, accurate and eligible for straight-through processing (STP) in Clearstream and in the local market. Clients must also ensure that any necessary provision is available. If any of these criteria are not met, Clearstream cannot guarantee timely settlement.

Important Note: As part of CBL’s internal compliance procedures, all incoming client instructions will be automatically scanned before entering transaction processing.  Instructions that are internally flagged as requiring further manual investigation are set to status pending, with such status immediately reported to the client via their chosen media channel(s), until either being manually released for processing or rejected. In order to ensure that instructions being investigated do not miss the applicable deadlines, clients are advised to input instructions at least 15 minutes before the associated deadline.

Note: Australian securities can be listed on foreign exchanges (see Multi-Market securities service).

Note for CEU clients: Please be advised that settlement instructions sent to CEU are subject to the applicable settlement cycles of the TARGET2-Securities (T2S) platform. During T2S Real-Time Settlement (RTS) hours—between 05:00 and 18:00 CET—CEU clients are strongly encouraged to submit instructions at least 15 minutes in advance of deadlines stated below to allow sufficient time for processing. 
Outside of RTS hours, including during night-time settlement, scheduled T2S maintenance windows, or periods when T2S may be temporarily unavailable, processing delays may be longer. Clients should refer to CASCADE/T2S settlement cycles  documentation to ensure alignment with cut-off times and operational schedules. For market deadlines outside of RTS hours, clients are advised to submit their instructions at least 15 min before the end of RTS processing in T2S

Settlement times in Central European Time (CET)

shouldertime

InstructionProvisioningDeadline for receipt of valid instructionExpected settlement results
startendfromtovalue
AP=Against payment FOP=Free of payment SD=Settlement date
ASX-listed and CHESS-eligible securities
Receipts

FOP

09:00
SD-1
08:55
SD
08:55
SD
10:00
SD-1
10:00
SD

AP

16:00
SD-1
01:25
SD
01:25
SD
02:30
SD
04:00
SD

SD

Deliveries

FOP

16:00
SD-1
08:55
SD
08:55
SD
10:00
SD-1
10:00
SD

AP

16:00
SD-1
01:25
SD
01:25
SD
02:30
SD
04:00
SD

SD

Austraclear-eligible securities
Receipts

FOP

09:00
SD-1
08:55
SD
08:55
SD
10:00
SD-1
10:00
SD

AP

20:05
SD-1
06:00
SD
06:00
SD
00:15
SD
08:00
SD

SD

Deliveries

FOP

16:00
SD-1
08:55
SD
08:55
SD
10:00
SD-1
10:00
SD

AP

16:00
SD-1
06:00
SD
06:00
SD
00:15
SD
08:00
SD

SD

wintertime

InstructionProvisioningDeadline for receipt of valid instructionExpected settlement results
startendfromtovalue
AP=Against payment FOP=Free of payment SD=Settlement date
ASX-listed and CHESS-eligible securities
Receipts

FOP

08:00
SD-1
07:55
SD
07:55
SD
21:00
SD-1
09:00
SD

AP

15:00
SD-1

00:25
SD

00:25
SD
01:30
SD
03:00
SD

SD

Deliveries

FOP

15:00
SD-1
07:55
SD
07:55
SD
21:00
SD-1
09:00
SD

AP

15:00
SD-1
00:25
SD
00:25
SD
01:30
SD
03:00
SD

SD

Austraclear-eligible securities
Receipts

FOP

08:00
SD-1
07:55
SD
07:55
SD
21:00
SD-1
09:00
SD

AP

20:05
SD-1
05:00
SD
05:00
SD
23:15
SD-1
07:00
SD

SD

Deliveries

FOP

15:00
SD-1
07:55
SD
07:55
SD
21:00
SD-1
09:00
SD

AP

15:00
SD-1
05:00
SD
05:00
SD
23:15
SD-1
07:00
SD

SD

summertime_aus

InstructionProvisioningDeadline for receipt of valid instructionExpected settlement results
startendfromtovalue
AP=Against payment FOP=Free of payment SD=Settlement date
ASX-listed and CHESS-eligible securities
Receipts

FOP

10:00
SD-1
09:55
SD
09:55
SD
23:00
SD-1
11:00
SD

AP

17:00
SD-1
02:25
SD
02:25
SD
03:30
SD
05:00
SD

SD

Deliveries

FOP

17:00
SD-1
09:55
SD
09:55
SD
23:00
SD-1
11:00
SD

AP

17:00
SD-1
02:25
SD
02:25
SD
03:30
SD
05:00
SD

SD

Austraclear-eligible securities
Receipts

FOP

10:00
SD-1
09:55
SD
09:55
SD
23:00
SD-1
11:00
SD

AP

20:05
SD-1
07:00
SD
07:00
SD
01:15
SD
09:00
SD

SD

Deliveries

FOP

17:00
SD-1
09:55
SD
09:55
SD
23:00
SD-1
11:00
SD

AP

17:00
SD-1
07:00
SD
07:00
SD
01:15
SD
09:00
SD

SD

Settlement times in Australian Eastern Time (AET)

All year

N.B.: Specific deadlines apply to transactions requiring physical settlement or settlement in a registrar’s books: 04:30 SD (equities and equity products), 09:00 SD (debt securities).

InstructionProvisioningDeadline for receipt of valid instructionExpected settlement results
startendfromtovalue
AP=Against payment FOP=Free of payment SD=Settlement date
ASX-listed and CHESS-eligible securities
Receipts

FOP

18:00
SD-1
17:55
SD
17:55
SD
07:00
SD
19:00
SD

AP

01:00
SD
10:25
SD
10:25
SD
11:30
SD
13:00
SD

SD

Deliveries

FOP

01:00
SD
17:55
SD
17:55
SD
07:00
SD
19:00
SD

AP

01:00
SD
10:25
SD
10:25
SD
11:30
SD
13:00
SD

SD

Austraclear-eligible securities
Receipts

FOP

18:00
SD-1
17:55
SD
17:55
SD
07:00
SD
19:00
SD

AP

06:05
SD
15:00
SD
15:00
SD
09:15
SD
17:00
SD

SD

Deliveries

FOP

01:00
SD
17:55
SD
17:55
SD
07:00
SD
19:00
SD

AP

01:00
SD
15:00
SD
15:00
SD
09:15
SD
17:00
SD

SD