ACATS
Non ACATS
BETA
Resource Documents
Rejection/Settlement Codes
100

The Advisor would select this type of transfer instruction in order to initiate an ACAT transfer 

What is In-Kind instructions

100

This is an extra step that LPL takes to gather more  information about a Non ACAT transfer that was sent to the contra firm for review.

What is a Contra call out 

100

These 4 BETA screens are used to view all electronic incoming or outgoing transfers 

What is TOAR,TARS,TOAD,TADS 

100

This Excel spread sheet list all of the contra party information. (DTC #, Address, phone #, etc. ) 

What is the contra party seeding table 

100

This rejection code is what the contra firm sends LPL if there is a discrepancy with the clients SS#/Tax ID 

What is Code 01 

200

This Contra firm clears through National financial Services  

What is Fidelity 

200

This section of the F2 form is specifically for Banks, Credit unions, Mutual funds, and trust companies

What is section 3B

200

This BETA screen will allow you to view all eligible mutual funds 

What is SURF 

200

This RC document shows all of the eligible account types that can transfer successfully into LPL 

What is the Account Transfers registration matrix  

200

This Settlement code means the asset that the client is trying to bring over is non-deliverable over the ACAT system. 

What is code 30 

300

This is the time frame that LPL put in place to sweep out any remaining assets to Contra firms. 

What is 12 months (every Friday) 

300

This document is needed for all Non ACAT transfers. There are no exceptions! 

What is a statement 

300

This BETA Screen reveals the Contra firm name by typing in their broker code. 

What is NANA 

300

This is a document that you can send to an Advisor if they need to provide the contra firm with all of  our broker information/instructions. 

What is the F2Di 

300

This Rejection code is what LPL's Margins department will put on an account if there is a credit violation/debit balance that is left at the delivering firm 

What is code 21 

400

This specific block is put on a clients account when there is an undeliverable asset. 

What is a Residual Block 

400

This is the Document Type that LPL generates for all Non ACAT transfers after they have been marked IGO 

What is a TLTR 

400

This Beta screen provides us all Mutual Fund information including B50 transfer request dates 

What is FIDO 

400

This document is what Advisors can pull up if they need assistance with accessing/filling out our F2 form. 

What is the ClientWorks Account Transfer How to Guide 

400

This Settlement code is utilized when dealing with alternative investments and REITS 

What is code 50 

500

This type of transfer is considered a Non ACAT but is treated like an ACAT. 

What is a DRS transfer 

500

These two documents are what AT provides the Contra Firm in order for them to initiate a transfer.  

What is the Letter of Acceptance and the Corporate Resolution. 

500

This BETA Screen has a list of all of the eligible ACAT participants. It also shows firms that are signed up with the Cost Basis Reporting System. 

What is APAR 

500

This Iknow document provides more information about Alternative Investments transfers and provides a link to the (PDD)

What is the Alternative Investment Transfers- Re-registration article

500

One way an Advisor can resolve this rejection code is by reviewing the contra firm statement to confirm that the transfer is indeed ACAT eligible 

What is code 04 

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