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Statement periods in current result
Switch the issuer tenant shown in this demo environment.
CTBC BankCTBCCathay United BankCATHAYTaishin BankTAISHINDBS BankDBSFubon BankFUBONSigned in as program-admin@ctbcbank.com
Period and per-trip settlement reconciliation (issuer-pays-DRTS), with masked references and signed downloadable artifacts.
This list stays at the statement-period layer: total payable, publication status, issue / due dates, and signed artifact download, while all trip-level refs remain masked in the drill-down view.
Refine the issuer finance list to published, paid, or due statements before opening a period detail.
Statement periods in current result
Periods currently due
Issuer payable in current result
Each row shows statement number, period total, publication status, issue / due dates, signed artifact download, and a route into per-trip reconciliation detail.
| Period | Issuer payable | Status | Issued | Due | Signed artifact | Detail |
|---|---|---|---|---|---|---|
2026 / 06STM-CTBC-202606 | NT$3,600 | Published | 2026-06-04 | 2026-06-15 | Download | View detail |
2026 / 05STM-CTBC-202605 | NT$2,900 | Paid | 2026-05-03 | 2026-05-12 | Download | View detail |
2026 / 04STM-CTBC-202604 | NT$2,180 | Due | 2026-04-02 | 2026-04-10 | Download | View detail |