FINS BIAN Financial Accounting Process API

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Examples of Use

Example of use:Upon opening of a consumer loan account the fulfillment Service Domain will use a generic Service Connection "Update GL Accounts" to trigger Financial Accounting to record the new general ledger of sub ledger accounts. - At the end of a day's banking operations Financial Accounting will retrieve all of today's bookings on Position Keeping and create (summary) entries for the general ledger and sub ledger accounts.

Role Definition

The Financial Accounting Service Domain takes in financial facts and based on these, creates accounting instructions. It lives in the accounting world of the bank and can access the banking, cards and securities worlds only for retrieve operations. It knows and maintains the chart of accounts and it can create accounting instructions that will update the general ledger and sub ledger accounts. Examples of financial facts are the opening of a loan account, revaluation of collateral and periodically (e.g. daily): position changes as a result of payments transactions.

Related Business Scenarios

Core Business Object

Key Features

  • Maintain the chart of accounts
  • Provide information about the chart of accounts
  • Reflect the opening of accounts in the GL
  • Create summary interval bookings in the GL for all entries in Position Keeping and (if applicable) Credit Card Position Keeping


Customers can use this integration template to accelerate implementation.


Reviews

TypeREST API
OrganizationMuleSoft
Published by
MuleSoft Solutions
Published onAug 25, 2023
Asset overview

Asset versions for 11.0.x

Asset versions
VersionActions
11.0.0