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File Specification: Statement Export Statement Type: Multicash File Specifications: Multicash July 2012 Page 1 Table of Contents Table of Contents ..............................................................................................................................2 1.1 Overview ......................................................................................................................................3 1.1.1 Who should read this document? ...................................................................................3 1.1.2 Technical Outline ............................................................................................................3 1.2 Statement Layout .........................................................................................................................4 1.2.1 Statement Header .....................................................................................................................4 1.2.2 Statement Transactions ............................................................................................................6 File Specifications: Multicash July 2012 Page 2 1.1 Overview 1.1.1 Who should read this document? This document is targeted at business analysts and IT technical staff responsible for interfacing the electronic bank statement into their company’s financial systems. The Multicash statement is an Online Banking statement format and is designed to be imported into the SAP Line of Business System. This format is designed for PC CAMS clients that migrate to Online Banking Enterprise™. This format is the same as the PC CAMS Multicash format. 1.1.2 Technical Outline The Multicash format is designed to integrate to a client’s financial system by use of a semi-colon delimited file. The file can be viewed in a text viewer. File Specifications: Multicash July 2012 Page 3 1.2 Statement Layout 1.2.1 Statement Header MultiCash Field Length Field Property Delimiters Title Description Comments BANK 6 N ; Branch code The branch code where the account is held. This will be the six digit branch code KTONR 24 N ; Account Number The account number for the bank statement. Current accounts are 11 digits Last 11 characters, no preceding zeros AZNUM 6 N ; Statement number This statements number. FNB starts at 1 incrementing by 1 for each new statement, until we reach 32000. Thereafter the statement numbers are reset to 1. Each new statement is generated based on the accounts statement cycle. Statement cycles can be daily, weekly or monthly. Leading 0 AZDAT 10 N ; Statement date The date the statement was created DD.MM.YY WAERS 3 AN ; Currency The currency of account SSALD 18 AN ; Opening Balance The opening balance of the statement. This is the same as the previous statements closing balance Opening balance plus or minus SUMSO 18 N ; Total value of debit transactions This indicates the total value of the transactions that were debited to the account for this statement. total debit movement - must be a minus only SUMHA 18 N ; Total value of credit transactions This indicates the total value of the transactions that were credited to the account for this statement. total credit movement - must be a plus only ESALD 18 AN ; This statements closing balance. The closing balance of this statement. Closing Balance HEADER RECORD (UMSATZ) File Specifications: Multicash July 2012 Page 4 INHAB 35 AN ANZUM 5 N File Specifications: Multicash ;;;;;;;; July 2012 Customers account name The account name of the customer for which the statement is provided. Total Number of transactions The total number of debit and credit transactions reflected on this statement Page 5 1.2.2 Statement Transactions MultiCash Field Length Field Property Delimiters Title Description Comments BANK 6 AN ; Branch code The branch code where the account is held. This will be the six digit branch code KTONR 24 N ; Account Number The account number for the bank statement. Current accounts are 11 digits Last 11 characters, no preceding zeros AZNUM 6 N ; Statement number This statements number. FNB starts at 1 incrementing by 1 for each new statement, until we reach 32000. Thereafter the statement numbers are reset to 1. Each new statement is generated based on the accounts statement cycle. Statement cycles can be daily, weekly or monthly Leading 0 AZDAT 10 N ;; Effective value date The effective date of the transaction this date is to be used for interface purposes. DD.MM.YY VWZ01 47 AN ; Transaction Narrative 47 character transaction narrative. This is the transaction description CAMS clients receive BUTXT 4 N ;;; Transaction code Transaction codes are used for different transactions based on the transaction types; these include a wide variety of transactions that reflect on bank statements, items such as cheques and deposits. SCHNR 8 N ; Cheque Number This is the actual cheque number as shown on the physical cheque. This field will also reflect the sequential reference number as generated by the system. WRBTR 18 N ;;; Transaction amount The value of the transaction BUDAT 10 N ;;;;;;;;;;;;;;;;;;;;;; Transaction posted date The date the transaction was posted TRANSACTION RECORD (AUSZUG) File Specifications: Multicash July 2012 Page 6 DD.MM.CCYY