4.4 Reporting of FX swaps and forwards (paras. 421-423)
421. The Final contractual settlement date as specified in the RTS on reporting is not a repeatable field, therefore it is not possible to report both settlement dates - of the near and far leg - in this field.
422. FX swap is reported in a single report; therefore the Package identifier should not be populated.
423. The below examples illustrate how an FX swap and a lifecycle event affecting a single leg of a swap should be reported under Article 9 of EMIR.