CN105427031A - Three-party data check method and system - Google Patents

Three-party data check method and system Download PDF

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CN105427031A
CN105427031A CN201510756471.XA CN201510756471A CN105427031A CN 105427031 A CN105427031 A CN 105427031A CN 201510756471 A CN201510756471 A CN 201510756471A CN 105427031 A CN105427031 A CN 105427031A
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control system
data
managing
business
financial
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CN105427031B (en
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陈丰
莫玉纯
赵晓玮
杨甘林
谭展鹏
王晓
祁生林
胡晋
楚丽霞
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China Southern Power Grid Co Ltd
Yuanguang Software Co Ltd
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Yuanguang Software Co Ltd
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    • G06COMPUTING; CALCULATING OR COUNTING
    • G06QINFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
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    • GPHYSICS
    • G06COMPUTING; CALCULATING OR COUNTING
    • G06QINFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
    • G06Q40/00Finance; Insurance; Tax strategies; Processing of corporate or income taxes
    • G06Q40/02Banking, e.g. interest calculation or account maintenance

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Abstract

The invention relates to a three-party data check method and system, wherein the method comprises the following steps that: a financial management and control system collects daily transaction data through a banking system and generates one unique identification code for a successfully collected transaction record; the financial management and control system pushes screened transaction data to a service management and control system; the service management and control system pre-splits the transaction data pushed by the financial management and control system, checks the split data with related data stored in the service management and control system, and pushes a successful check record to the financial management and control system; the financial management and control system receives the data pushed by the service management and control system and matches the data with the collected data pushed to the service management and control system before according to the identification code; and the successfully matched data are checked with a data receipt of a bank. According to the invention, online three-party check is realized; the financial system obtains a bank current account through direct connection between the bank and an enterprise; after being processed, the bank current account is pushed to the service system; and the service system pushes the bank current account to the financial system after completing service processing.

Description

Tripartite's verification of data method and system
Technical field
The present invention relates to technical field of information management, particularly relate to a kind of tripartite's verification of data method and system.
Background technology
South Wang Gefensheng company and each big banking mechanism directly carry out bank-enterprise interconnection and obtain fund by managing and control system from bank and gather transaction data; Papery transaction receipt is obtained from bank; Daily electricity charges data are obtained by business managing and control system.These three kinds of data do not set up any data-interface in finance and marketing two product systems, cannot carry out line is checked between Liang Ge department for the business datum occurred separately.
Summary of the invention
In view of above-mentioned analysis, the present invention aims to provide a kind of tripartite's account checking method and system, in order to solve the problem cannot carrying out verification of data on line between existing different department.
Object of the present invention is mainly achieved through the following technical solutions:
The invention provides a kind of tripartite's verification of data method, comprising:
Finance managing and control system gathers current transaction data by banking system, generates a unique identifier to the transaction record of successful acquisition;
Transaction data after screening is pushed to business managing and control system by finance managing and control system;
Financial managing and control system is pushed the transaction data come and carries out pre-service fractionation by business managing and control system, the data after deconsolidation process is checked with the related data stored in business managing and control system, will check successfully record and be pushed to financial managing and control system;
Finance managing and control system receives business managing and control system and pushes the data of coming, and mates with the image data being pushed to business managing and control system before it according to identification code; The data that the match is successful are checked with the data receipt of bank again, check successfully generation income bookkeeping voucher and are preserved.
Further, after the key field in transaction data being connected, do HASH algorithm, and packet sequencing is done to HASH value obtain organizing internal sort number, HASH value and sorting number is coupled together formation unique identifier.
Further, business managing and control system is taked repeatedly, the mode propelling data of increment gives financial managing and control system, and same business multiple incremental pushes batch number and increase progressively, and financial managing and control system realizes increment association according to batch number.
Further, the transaction data successfully pushing to business managing and control system can be stamped the mark of " pushing " automatically; The transaction record that the match is successful and the receipt that bank has reached are checked by finance managing and control system, will check the mark that successful transaction record stamps " receipt reaches ", and for the transaction record of " pushing " and " receipt reaches ", bookkeeping voucher is taken in generation.
Further, realize exchanges data between financial managing and control system and business managing and control system by third side's application system, third side's application system also carries out code conversion between financial managing and control system and business managing and control system simultaneously.
Further, the day paid data that this locality generates by business managing and control system push to financial managing and control system by interface and show, the paid data of moon business revenue generated this locality push to financial managing and control system by interface and show, and monthly generate transfer voucher.
Present invention also offers a kind of tripartite's verification of data system, it is characterized in that, comprising:
Finance managing and control system, for gathering current transaction data by banking system, generates a unique identifier to the transaction record of successful acquisition; And the transaction data after screening is pushed to business managing and control system; Also for, receive business managing and control system and push the data of coming, and mate with its image data being pushed to business managing and control system before according to identification code; The data that the match is successful are checked with the data receipt of bank again, check successfully generation income bookkeeping voucher and are preserved;
Business managing and control system, carries out pre-service fractionation for financial managing and control system is pushed the transaction data come, the data after deconsolidation process is checked with the related data stored in business managing and control system, will check successfully record and be pushed to financial managing and control system;
Further, described financial managing and control system also for, do HASH algorithm after the key field in transaction data being connected, and packet sequencing is done to HASH value obtain organizing internal sort number, HASH value and sorting number is coupled together formation unique identifier.
Further, described business managing and control system also for, take repeatedly, the mode propelling data of increment to financial managing and control system, same business multiple incremental pushes batch number and increases progressively, and financial managing and control system realizes increment association according to batch number.
Further, described system also comprises:
Third side's application system, realize exchanges data by described third side's application system between described financial managing and control system and described business managing and control system, described third side's application system is also responsible for the code conversion between described financial managing and control system and described business managing and control system simultaneously.
Beneficial effect of the present invention is as follows:
Present invention achieves on tripartite's line and check, financial system, by direct-connected acquisition bank of bank flowing water, is pushed to operation system after treatment, pushes back financial system after the processing of operation system finishing service.
Other features and advantages of the present invention will be set forth in the following description, and, becoming apparent from instructions of part, or understand by implementing the present invention.Object of the present invention and other advantages realize by structure specifically noted in write instructions, claims and accompanying drawing and obtain.
Accompanying drawing explanation
Accompanying drawing only for illustrating the object of specific embodiment, and does not think limitation of the present invention, and in whole accompanying drawing, identical reference symbol represents identical parts.
Fig. 1 is the schematic flow sheet of method described in the embodiment of the present invention;
Fig. 2 is in method described in the embodiment of the present invention, and business managing and control system repeatedly, the mode propelling data of increment gives the schematic diagram of financial managing and control system;
Fig. 3 is in method described in the embodiment of the present invention, and financial managing and control system and business managing and control system carry out the schematic diagram of exchanges data by third side;
Fig. 4 is the structural representation of system described in the embodiment of the present invention.
Embodiment
Specifically describe the preferred embodiments of the present invention below in conjunction with accompanying drawing, wherein, accompanying drawing forms the application's part, and together with embodiments of the present invention for explaining principle of the present invention.
First, method described in the embodiment of the present invention is described in detail.
Step 101: financial managing and control system collects the current transaction pipelined data of target account by bank pre-machine, the transaction record of successful acquisition can generate a unique identifier (transid), its generation method mainly comprises: do HASH algorithm after the key field in transaction journal data being connected, and packet sequencing is done to HASH value obtain organizing internal sort number, HASH value and sorting number is coupled together formation unique identifier.Transaction journal number its benefit obtained like this is: each bank is unified, and length is fixed, and repetition rate can be ignored, and same data repeatedly generate identical, and algorithm performance is high.
Nationwide bank (such as: industrial and commercial bank, agricultural bank) always issues after total collection, and region bank (such as: Bank of Beijing) subordinate reports after gathering.Nationwide bank transaction journal is by level one data center concentrated collection, and each place property bank transaction flowing water is gathered respectively by secondary data center, has gathered issue respectively or report afterwards.Report that issue can by a lot of data channel, the schemes such as data integrity verifying, real-time, channel security are emphasis.In order to the integrality of checking data, descriptive information can be added in packet as data time, data number, Amount in Total etc.Specifically, by gathering the number, the amount of money aggregate value that calculate data during data packing, same to Data Date, packing date form the summary of packet together.When packet is resolved, after adopting the formation summary that uses the same method, whether both couplings there are differences.
Step 102: go out all income transaction of the account on this date according to target account and date inquiries, and screen by the concrete clip Text in transaction and weed out the transaction record without the need to pushing to business managing and control system, concrete which record of rejecting is decided according to the actual requirements;
Step 103: the transaction data after screening is pushed to business managing and control system, and successfully receive these data by data-interface business managing and control system, the data successfully pushing to business managing and control system can be stamped the mark of " pushing " automatically;
Step 104: business managing and control system by financial managing and control system push come transaction data carry out pre-service fractionation, data after deconsolidation process are checked with the related data stored in business managing and control system, successfully record will be checked and be pushed to financial managing and control system.
Realize exchanges data by third side's application system between finance managing and control system and business managing and control system, third side is also responsible for the conversion of coding, as: unit encoding, bank encodes, account coding etc.Business managing and control system is pushed to the data acquisition full dose mode of financial managing and control system, and sends the part data of change when reciever can identify and repeatedly push according to transaction journal number.Due to business managing and control system repeatedly, the mode propelling data of increment gives financial managing and control system, and between data, there is the relation of one-to-many, such as shown in Fig. 2: corresponding business two transaction of the transaction that finance are 100,000: 80,000 and 20,000, is denoted as: A (10): B (8)+B (2).Business managing and control system first time pushes A (10): B (8), and second time increment pushes A (10): B (2).So as data receiver (financial managing and control system), the relation of A (10): B (8)+B (2) need be set up.Same business multiple incremental pushes batch number and increases progressively, and financial managing and control system realizes increment association according to batch number.Special, if the data pushed before need to cancel, only batch number need be designated as 1 again.
As shown in Figure 3, Fig. 3 carries out the schematic diagram of exchanges data by financial managing and control system and business managing and control system by third side, employing is set up unified channel by third side and is completed exchanges data work, is conducive to elevator system handling capacity on the one hand, ensures that data finally arrive.Solve the problem of enterprise's Unified coding on the other hand, accomplish that effective data are administered.In the embodiment of the present invention, Third party system is unified provides WebService to realize asynchronous exchange of data; In order to ensure final arrival, Third party system can transmit after first for the data received persistence, arranges abnormality processing rule between system, propelling data again after the period of interval after abnormal generation.Third party system is safeguarded master data between two systems simultaneously and is done and maps, and first changes transmit afterwards when data are transmitted.
Step 105: financial managing and control system receives the data of business managing and control system feedback according to the unique identifier (transid) of domestic transaction data, then shows the reconciliation result of marketing based on the image data being pushed to business managing and control system before; Such as, the collection transaction data of one 100 is split into the data of two 80 and 20 by marketing, and successfully then financial managing and control system is fed back to that transaction of upper 80, the unique identifier that finance managing and control system gathers transaction data according to this locality judges, and by the Data Matching of that transaction data of 100 local and 80 of marketing feedback, and extrapolate this transaction and have 20 not to upper; If marketing feeds back to financial managing and control system by two 80 together with after 20 all to upper account, then financial managing and control system carries out gathering of the amount of money according to the data of receive 2 identical transid, then mate with local collection transaction record, show this amount of money of 100 completely to upper;
Step 106: the day paid data that this locality generates by business managing and control system push to financial managing and control system by interface and show;
Step 107: the paid data of moon business revenue that this locality generates by business managing and control system push to financial managing and control system by interface and show, and monthly generate transfer voucher;
Step 108: the receipt that the transaction record of step 105 successful match and bank have reached is checked by financial managing and control system, will check the mark that successful transaction record stamps " receipt reaches ";
Step 109: for the transaction record of " pushing " and " receipt reaches ", generates income of electricity charge bookkeeping voucher.
It should be noted that, step 106 and 107 belongs to two independent secondary functions in " tripartite's reconciliation " a whole set of function, effect be exactly finance receive market day paid data and the moon paid data, only do to show, have nothing to do with other functions of front and back, be only described based on operation flow order herein.
Next, system described in the embodiment of the present invention is described in detail.
As shown in Figure 4, Fig. 4 is the structural representation of system described in the embodiment of the present invention, mainly comprises: financial managing and control system and business managing and control system, wherein,
Finance managing and control system, primary responsibility gathers current transaction data by banking system, generates a unique identifier to the transaction record of successful acquisition; And the transaction data after screening is pushed to business managing and control system; This identification code does HASH algorithm after the key field in transaction data being connected, and do packet sequencing to HASH value and obtain organizing internal sort number, HASH value and sorting number coupled together formation unique identifier.
Business managing and control system, financial managing and control system is pushed the transaction data come and carries out pre-service fractionation by primary responsibility, the data after deconsolidation process is checked with the related data stored in business managing and control system, will check successfully record and be pushed to financial managing and control system; Business managing and control system also for, take repeatedly, the mode propelling data of increment to financial managing and control system, same business multiple incremental pushes batch number and increases progressively, and financial managing and control system realizes increment association according to batch number.
Preferably, the embodiment of the present invention can also comprise:
Third side's application system, realizes exchanges data by described third side's application system between financial managing and control system and business managing and control system, and third side's application system is also responsible for the code conversion between described financial managing and control system and described business managing and control system simultaneously.
Employing is set up unified channel by third side and is completed exchanges data work, is conducive to elevator system handling capacity on the one hand, ensures that data finally arrive.Solve the problem of enterprise's Unified coding on the other hand, accomplish that effective data are administered.In the embodiment of the present invention, Third party system is unified provides WebService to realize asynchronous exchange of data; In order to ensure final arrival, Third party system can transmit after first for the data received persistence, arranges abnormality processing rule between system, propelling data again after the period of interval after abnormal generation.Third party system is safeguarded master data between two systems simultaneously and is done and maps, and first changes transmit afterwards when data are transmitted.
For the specific implementation process of said system, owing to being described in detail in said method, so place repeats no more.
In sum, embodiments provide a kind of tripartite's verification of data method and system, achieve on tripartite's line and check, financial system is by direct-connected acquisition bank of bank flowing water, be pushed to operation system after treatment, after the processing of operation system finishing service, push back financial system.
Before bank transaction flowing water enters financial system, need change according to uniform rules and generate transaction journal number.Transaction journal number can run through whole processing procedure as data uniqueness mark, comprise check, change, synchronous etc.
Always to total, point to point collection after, bank's flowing water is transferred to corresponding data center by data exchange service.
After bank data enters financial system, after business processing, push to marketing in the lump with financial data.These data can be repeatedly synchronous between finance and operation system.Financial system is pushed to the data acquisition full dose mode of operation system, and sends the part data of change when reciever can identify and repeatedly push according to transaction journal number.
Operation system repeatedly, the mode propelling data of increment to financial system, and exists the relation of one-to-many between data.Operation system is that the data pushed increase batch number, and same business multiple incremental pushes batch number and increase progressively, and financial system realizes increment association according to batch number.
It will be understood by those skilled in the art that all or part of flow process realizing above-described embodiment method, the hardware that can carry out instruction relevant by computer program has come, and described program can be stored in computer-readable recording medium.Wherein, described computer-readable recording medium is disk, CD, read-only store-memory body or random store-memory body etc.
The above; be only the present invention's preferably embodiment, but protection scope of the present invention is not limited thereto, is anyly familiar with those skilled in the art in the technical scope that the present invention discloses; the change that can expect easily or replacement, all should be encompassed within protection scope of the present invention.

Claims (10)

1. tripartite's verification of data method, is characterized in that, comprising:
Finance managing and control system gathers current transaction data by banking system, generates a unique identifier to the transaction record of successful acquisition;
Transaction data after screening is pushed to business managing and control system by finance managing and control system;
Financial managing and control system is pushed the transaction data come and carries out pre-service fractionation by business managing and control system, the data after deconsolidation process is checked with the related data stored in business managing and control system, will check successfully record and be pushed to financial managing and control system;
Finance managing and control system receives business managing and control system and pushes the data of coming, and mates with the image data being pushed to business managing and control system before it according to identification code; The data that the match is successful are checked with the data receipt of bank again, check successfully generation income bookkeeping voucher and are preserved.
2. method according to claim 1, is characterized in that,
Do HASH algorithm after key field in transaction data being connected, and packet sequencing is done to HASH value obtain organizing internal sort number, HASH value and sorting number is coupled together formation unique identifier.
3. method according to claim 1 and 2, is characterized in that,
Business managing and control system is taked repeatedly, the mode propelling data of increment gives financial managing and control system, and same business multiple incremental pushes batch number and increase progressively, and financial managing and control system realizes increment association according to batch number.
4., according to the method in Claim 1-3 described in any one, it is characterized in that,
The transaction data successfully pushing to business managing and control system can be stamped the mark of " pushing " automatically; The transaction record that the match is successful and the receipt that bank has reached are checked by finance managing and control system, will check the mark that successful transaction record stamps " receipt reaches ", and for the transaction record of " pushing " and " receipt reaches ", bookkeeping voucher is taken in generation.
5. according to the method in claim 1 to 4 described in any one, it is characterized in that, realize exchanges data by third side's application system between finance managing and control system and business managing and control system, third side's application system also carries out code conversion between financial managing and control system and business managing and control system simultaneously.
6. according to the method in claim 1 to 5 described in any one, it is characterized in that, the day paid data that this locality generates by business managing and control system push to financial managing and control system by interface and show, the paid data of moon business revenue generated this locality push to financial managing and control system by interface and show, and monthly generate transfer voucher.
7. tripartite's verification of data system, is characterized in that, comprising:
Finance managing and control system, for gathering current transaction data by banking system, generates a unique identifier to the transaction record of successful acquisition; And the transaction data after screening is pushed to business managing and control system; Also for, receive business managing and control system and push the data of coming, and mate with its image data being pushed to business managing and control system before according to identification code; The data that the match is successful are checked with the data receipt of bank again, check successfully generation income bookkeeping voucher and are preserved;
Business managing and control system, carries out pre-service fractionation for financial managing and control system is pushed the transaction data come, the data after deconsolidation process is checked with the related data stored in business managing and control system, will check successfully record and be pushed to financial managing and control system.
8. system according to claim 7, is characterized in that,
Described financial managing and control system also for, do HASH algorithm after the key field in transaction data being connected, and packet sequencing is done to HASH value obtain organizing internal sort number, HASH value and sorting number is coupled together formation unique identifier.
9. the system according to claim 7 or 8, is characterized in that,
Described business managing and control system also for, take repeatedly, the mode propelling data of increment to financial managing and control system, same business multiple incremental pushes batch number and increases progressively, and financial managing and control system realizes increment association according to batch number.
10. according to the system described in claim 7 to 9, it is characterized in that, also comprise:
Third side's application system, realize exchanges data by described third side's application system between described financial managing and control system and described business managing and control system, described third side's application system is also responsible for the code conversion between described financial managing and control system and described business managing and control system simultaneously.
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CN112632059B (en) * 2019-10-09 2023-08-15 浙江大搜车软件技术有限公司 Data checking method, device, electronic equipment and machine-readable storage medium
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