| Docs fix: Retail customer KYC | 27 October 2025 |
| Docs fix only - Amend VoP bic pattern and SCT max amount | 22 October 2025 |
| SCT Inst cancellation code documentation update | 21 October 2025 |
| CHAPS hybrid address documentation update | 21 October 2025 |
| Fix: Cheque field descriptions and examples | 15 October 2025 |
| Verification of Payee go-live | 7 October 2025 |
| SCT/SCT Inst Rulebook 2025 changes | 6 October 2025 |
| Automated Cash ISA transfer in and out | 3 October 2025 |
| SCT Inst Cancellation Codes and Rejection Codes | 2 October 2025 |
| CHAPS and GBP Cross-Border: Guidance for populating Creditor and CreditorAgent fields | 30 September 2025 |
| Docs: Add virtual account diagram | 29 September 2025 |
| Add new retail customer KYC endpoint and webhooks | 29 September 2025 |
| Website fix: remove old cookie consent banner | 25 September 2025 |
| V2 CHAPS inbound simulator endpoints | 24 September 2025 |
| CHAPS and GBP Cross-Border: Transaction Settled webhook shows Iso20022XmlDocument field for outbound payments | 22 September 2025 |
| New SEPA Instant Outbound Payment Delayed webhook | 19 September 2025 |
| MCCY payments documentation update | 22 October 2025 |
| Add GET interest configuration endpoint | 15 September 2025 |
| Docs fix: amend GBP cross-border payment purpose details | 15 September 2025 |
| Docs fix: ISA transfer out process | 10 September 2025 |
| GET ISA account endpoint - Add DateOfFirstSubscriptionInCurrentTaxYear field | 10 September 2025 |
| 503 Retry-After header guidance | 9 September 2025 |
| Docs fix: GBP Account ClosureReason / StatusReason | 22 September 2025 |
| Verification of Payee | 1 September 2025 |
| Update FX RFQ holiday dates | 27 August 2025 |
| Update FX RFQ same-day cutoff times | 22 August 2025 |
| Confirmation of Payee header parameters update | 21 August 2025 |
| SCT recall documentation update | 26 August 2025 |
| GBP Cross-Border documentation update | 12 August 2025 |
| Add TransactionReference field to SCT Inst Inbound Payment Settled webhook | 7 August 2025 |
| Add TransactionReference field to SCT Inbound Payment Completed webhook | 29 July 2025 |
| Add v2 retail savings endpoint | 23 July 2025 |
| SCT Inst Reference field - Add min character length | 15 July 2025 |
| Documentation fix only, SEPA CT endpoint lookup table | 9 July 2025 |
| Docs fix only - CHAPS and GBP Cross-Border | 27 June 2025 |
| Embedded banking retail docs update | 20 June 2025 |
| Sterling v3 accounts: new return fields | 13 June 2025 |
| Add upcoming FX RFQ US currency holidays | 9 June 2025 |
| CHAPS and GBP Cross-Border old endpoint removal | 3 June 2025 |
| Docs fix: fix broken links | 5 June 2025 |
| Update savings account closure response to show pending status | 28 May 2025 |
| GBP transactions: Add Balance and BalanceLastUpdatedAt fields | 27 May 2025 |
| T2 - documentation update | 7 July 2025 |
| Future-dated interest configurations | 21 May 2025 |
| SEPA CT Inbound Payment Recalled webhook: correct payload structure | 20 May 2025 |
| Account Created webhook update for savings account and ISAs | 20 May 2025 |
| SCT Inst - adjust phrasing of scheme description | 20 May 2025 |
| Faster Payments: Add SOP and FDP support | 15 May 2025 |
| Retail customer countryOfResidence description | 8 May 2025 |
| Create a retail customer currentAddress 'array' to 'object' | 6 May 2025 |
| GBP GET Transactions endpoints: add account holder name | 28 April 2025 |
| GBP Transaction data: add endToEndIdentifier | 24 April 2025 |
| Docs Fix: rendering issue for cancellation code | 17 April 2025 |
| Docs fix: Update GitHub build version | 17 April 2025 |
| GBP Cross-Border update BIC field requirement | 15 April 2025 |
| Add CHAPS return reason code table | 10 April 2025 |
| Docs fix: MCCY field descriptions and header parameters | 10 April 2025 |
| SCT Inst: add failed screening cancellation code (MS03) | 17 April 2025 |
| Docs: remove SCT Inst and SCT coming soon banner | 8 April 2025 |
| Docs fix: Bacs decision tree update | 7 April 2025 |
| CHAPS & GBP Cross-Border: Update Purpose Code and Category Purpose Code table | 3 April 2025 |
| Docs fix: GBP Accounts correct virtual account OwnerName min/max length | 7 April 2025 |
| Docs fix: T2 payment amend ExchangeRate note | 3 April 2025 |
| Docs fix: T2 ExchangeRate description | 2 April 2025 |
| GET EU Transactions provides more details for SCT Inst | 2 April 2025 |
| Homepage: PR log to show MergeDate instead of CreatedDate | 4 April 2025 |
| SCT Inst add /v2/ simulation inbound payment recall endpoint | 1 May 2025 |
| Typo fix: T2 institution payment pacs.009 DebtorAccount description | 28 March 2025 |
| EUR payments: Add examples for Customer Accounts Transaction Completed webhook | 18 March 2025 |
| SCT Inst increase internal transfer limit | 18 March 2025 |
| Interest configuration date field update | 14 March 2025 |
| SCT Inst update example BICs and IBANs | 12 March 2025 |
| T2 add pre-existing nonIban field for Pacs.008 | 6 March 2025 |
| Dev Portal fix header colours | 5 March 2025 |
| SCT update recall request diagrams | 7 March 2025 |
| T2/SCT add returns notice | 25 February 2025 |
| Cash ISAs add Remaining Subscription Allowance Updated webhook | 24 February 2025 |
| Add FX RFQ cut-off times | 21 February 2025 |
| Improve readability of page-menu | 18 February 2025 |
| Dev Portal support for external links | 3 March 2025 |
| Update Payment Message Assessment Failed Webhook example | 17 February 2025 |
| CHAPS & GBP Cross-Border: BoE Data Enhancement refinements | 25 February 2025 |
| SCT relax postal address fields for payments | 11 February 2025 |
| GBP accounts and savings - relax OwnerName allowed characters | 13 February 2025 |
| SCT simulation endpoint and SCT docs update | 21 February 2025 |
| Add cash ISA declaration endpoint | 11 February 2025 |
| SCT Inst add e2eID field to all webhooks | 5 February 2025 |
| SCT new Outbound Payment Recall Rejected webhook | 3 February 2025 |
| Add T2 unstructured remittance info field | 3 February 2025 |
| SEPA Instant Credit Transfer docs update | 4 February 2025 |
| Add VSCode snippets | 28 January 2025 |
| SEPA CT add E2E Identification field to several webhooks | 24 January 2025 |
| Add Embedded Banking docs for GET and PATCH endpoints | 22 January 2025 |
| Add CHAPS V5 payment endpoints | 21 January 2025 |
| T2 clarify inbound pacs.009 payment behaviour | 22 January 2025 |
| Cheque image dimensions change | 20 January 2025 |
| GBP Accounts amend OwnerName field regex | 17 January 2025 |