[This message was posted by Robert Stephenson of F&C Asset Management plc 
<[email protected]> to the "FIXML_Schema" discussion forum at 
http://fixprotocol.org/discuss/19. You can reply to it on-line at 
http://fixprotocol.org/discuss/read/96499a7e - PLEASE DO NOT REPLY BY MAIL.]

We are using FIXML 4.4. fields to represent some x-currency trades - i.e. 
settlement currency is different to trade currency. We've identified 

We've identified AllocSettlCurrAmt as the field to use as per the FIXML 
documentation. However the schema is different - it is SettlCcyAmt.

The schema seems to be inconsistent both with the documentation and other 
fields in the schema:

>From the downloaded copy of fixml-allocation-base-4-4.xsd
<xs:attribute name="SettlCcyAmt" type="AllocSettlCurrAmt_t" use="optional"/>

I would expect it to be:
<xs:attribute name="AllocSettlCurrAmt" type="AllocSettlCurrAmt_t" 
use="optional"/>

Any suggestions?

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