slug: westpac provider: Westpac Banking Corporation generated_by: planning/capability-mapping/scripts/classify_capabilities.py model: claude-opus-5 frame: - Banking & Capital Markets min_confidence: 0.7 capability_model: source: https://github.com/vincentmakes/turbo-ea-capabilities license: CC-BY-4.0 attribution: Turbo EA Capabilities by Vincent Verdet — Turbo EA, https://github.com/vincentmakes/turbo-ea-capabilities, CC BY 4.0 notice: NOTICE edge_count: 3 edges: - tag: Banking Products spec_file: westpac-banking-products-api-openapi.yml capability_id: BC-1310.10 capability_id_l1: BC-1310 capability_name: Product Catalogue Management confidence: 0.85 evidence: GET /banking/products listBankingProducts Get Products; schemas BankingProductDetailV7, BankingProductFeeV2, BankingProductDepositRateV2, BankingProductEligibilityV2 reason: Publishes the bank's product catalogue with features, fees, rates and eligibility — banking product catalogue management. - tag: Banking Account Scheduled Payments spec_file: westpac-banking-account-scheduled-payments-api-openapi.yml capability_id: BC-1340.10 capability_id_l1: BC-1340 capability_name: Payment Initiation Management confidence: 0.75 evidence: GET /banking/accounts/{accountId}/payments/scheduled listScheduledPayments Get Scheduled Payments for Account; schemas BankingScheduledPaymentV2, BankingScheduledPaymentRecurrence, BankingInstalmentPlanSchedule reason: Surfaces standing/scheduled payment instructions and their recurrence and payee details — payment instruction capture and authorisation data. - tag: Banking Account Direct Debits spec_file: westpac-banking-account-direct-debits-api-openapi.yml capability_id: BC-1340.10 capability_id_l1: BC-1340 capability_name: Payment Initiation Management confidence: 0.7 evidence: GET /banking/accounts/{accountId}/direct-debits listDirectDebits Get Direct Debits For Account; schemas BankingDirectDebit, BankingAuthorisedEntity, ResponseBankingDirectDebitAuthorisationList reason: Exposes direct debit authorisations (mandates) held against accounts, i.e. payment authorisation/instruction data within payments management.