User Roles & Relation Type

MyEuronext is Euronext's unified portal where companies (issuers, trading members, CSD participants) and Euronext internal staff manage their activities: listing, trading, settlement, corporate actions, and more.

Two key modules work together in Company Settings:

Module

Purpose

UAM

Manages user, roles, permissions, teams

CR

Manages companies, contacts and their relationships


The 3 Domains

Everything on MyEuronext is organized into 3 business domains:

Domain

Who

Typical activities

ISSUER

Companies listed on Euronext

Equity/Bond/ETP admissions, Corporate Actions, Listing

MEMBER

Trading & Clearing members

Logical Access, Market Maker Registration, Onboarding, CFTS

CSD

CSD Participants, Issuers, Agents

Settlement, Securities Management, Corporate Actions (CA4U), ISIN codification


Relation Types

A company's relation type defines its business relationship with Euronext and determines which services it can access:

Relation Type

Domain

Description

Market Issuer

ISSUER

Company listed on Euronext markets

Market Issuer TP

(Third Party)

ISSUER

Third party acting on behalf of an Issuer

Trading Member

MEMBER

Firm authorized to trade on Euronext markets

Trading Member MTS

MEMBER

Firm trading on MTS markets

Clearing Member

MEMBER

Member of Euronext Clearing

CSD Participant

CSD

Direct participant in a CSD (holds accounts)

CSD Issuer

CSD

Issuer registered in a CSD

CSD Issuer Agent

CSD

Agent acting on behalf of a CSD Issuer

CSD Paying Agent

CSD

Handles payment on behalf of issuers in a CSD

CSD Account Controller

CSD

Controls securities accounts

CSD Client

CSD

Generic CSD client

Data Vendor

MEMBER

Redistributes market data

Technology Partner (ASP/ESP/ISV)

MEMBER

Provides technology services to members

Non-executing Broker

MEMBER

Broker without direct market execution

Settlement Agent

MEMBER

Handles settlement on behalf of others


User Types

External Users (clients)

User Type

Role

How created

Company User Admin

Master user of the company — manages all contacts, roles & teams for their company

Created by Euronext at company registration

Authorised Representative

Signs documents, main contact with Euronext (Members)

Assigned by Euronext

Prospect User

Limited access before T&Cs are signed (onboarding phase)

Created during onboarding

Regular operators

(Junior / Senior)

Day-to-day business users (e.g., CA Junior, Listing Operator, CSD Participant Senior)

Created by Company User Admin

API Service users

Machine-to-machine access

Managed via API credentials

Internal Users (Euronext staff)

User Type

Role

ENX User Admin

(per domain)

Manages user rights for a domain

ENX SuperUserAdmin

(per domain)

Highest privilege — can bypass approval workflows

ENX Operators

(e.g., CA Senior, Listing Senior, Market Access Writer)

Process and validate client requests

ENX Readers

Read-only across a domain

ENX Legal Entity Manager

Creates/modifies company records


Main Roles

Issuer Domain — External

Role

What they do

issuer_ca_junior

Creates corporate actions (needs senior validation)

issuer_ca_senior

Creates & validates corporate actions

issuer_listing_operator

Manages listing/admission processes

issuer_listing_api

/

issuer_ca_api

Automated API access for listings/CA

prospect_user_issuer

/

prospect_user_thirdparty

Onboarding-phase users

issuer_company_user_admin

Admin of the issuer company

Member Domain — External

Role

What they do

member_auth_representative

Authorised Rep — signs, acts on behalf of member

member_resp_person

Responsible for trading activity

member_MCA_writer

Manages connectivity (Logical Access)

member_company_user_admin

Admin of the member company

member_listing

/

member_mmlp_reader

Views/initiates MMLP requests

cfts_client_member

Access to CFTS data services

member_technology_partner

External tech partner (ASP/ISV)

CSD Domain — External

Role

What they do

csd_issuer_junior

/

csd_issuer_senior

Creates/validates corporate events

csd_issuer_agent_junior

/

csd_issuer_agent_senior

Same, on delegated instruments

csd_participant_junior

/

csd_participant_senior

Creates/validates settlement instructions

csd_paying_agent_junior

/

csd_paying_agent_senior

Manages payment hold/release

csd_company_user_admin

Admin of the CSD company


How It Works — Key Concepts

1. Company Card

Every legal entity has a Company Card containing:

  • Statutory name, LEI, registration number
  • Relation type(s) and associated domain(s)
  • CSD Activities (Client ID, CSD Location, Role)
  • Linked contacts & their roles

2. Contacts & Roles

A Contact is a person linked to one or more companies. Each contact is assigned User Roles that determine what they can do. Roles follow a Junior/Senior pattern:

  • Junior = can create, needs approval
  • Senior = can create and validate

3. Teams

Contacts can be grouped into Teams within a company. Teams restrict the approval perimeter (a Company User Admin can only approve roles within their team scope).

4. Delegations

An Issuer can delegate operations to a Third Party (e.g., a financial agent handles listing for them). Delegations are created by Euronext internal users and must be approved.

5. CSD Client ID & Segregation ID

For CSD services:

  • CSD Client ID: numeric code identifying the entity (e.g., 01070)
  • Segregation ID: pattern <CSD_CODE><CLIENT_ID>_<ROLE> (e.g., VPDK01070_P_P) — controls data isolation. Users with the same Segregation ID see the same data.

6. Approval Workflow

Role assignments follow an approval workflow:

  • A Company User Admin or ENX User Admin approves role requests within their perimeter
  • The SuperUserAdmin can bypass and approve anything

Services Available per Relation Type (examples)

Service

Available to

CA4U (Corporate Actions)

CSD Issuer, CSD Issuer Agent, CSD Participant, CSD Paying Agent, CSD Client

Settlement (SET)

CSD Account Controller, CSD Participant, CSD Paying Agent, CSD Client

Securities Management (SEM)

CSD Issuer, CSD Issuer Agent, CSD Client

ISIN Codification (NNA)

CSD Issuer, CSD Issuer Agent, CSD Client

Equity Admission (EAD)

Market Issuer, Market Issuer TP

CFTS

Market Issuer, Trading Member, Data Vendor, Tech Partners

Logical Access (LOA)

Trading Member, Tech Partner ISV

MOB Market / MTS / Clearing

Trading Member, Trading Member MTS, Clearing Member

Company Settings (UAM)

All relation types


Quick Reference — "How do I..."

I want to...

I need...

Manage my company's users

company_user_admin

role in my domain

Submit a corporate action

issuer_ca_junior

or

issuer_ca_senior

(Issuer) /

csd_issuer_junior

/

senior

(CSD)

Access settlement services

csd_participant_junior

or

senior

role + CSD Client ID

Onboard as new member

member_prospect_user

→ then

member_auth_representative

View CFTS reports

cfts_client_member

role

Manage logical access

member_MCA_writer

or

member_resp_person

role

Get API credentials

Must have a

company_user_admin

or specific senior role to generate them