CN106447246A - Inventory data account checking method and inventory data account checking device - Google Patents

Inventory data account checking method and inventory data account checking device Download PDF

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Publication number
CN106447246A
CN106447246A CN201510478701.0A CN201510478701A CN106447246A CN 106447246 A CN106447246 A CN 106447246A CN 201510478701 A CN201510478701 A CN 201510478701A CN 106447246 A CN106447246 A CN 106447246A
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stock
account information
inventory
account
information
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CN106447246B (en
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宋文豪
沈国平
满元斌
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Cainiao Smart Logistics Holding Ltd
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Alibaba Group Holding Ltd
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Priority to PCT/CN2016/091518 priority patent/WO2017020740A1/en
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    • 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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Abstract

The invention discloses an inventory data account checking method and an inventory data account checking device. An inventory server is used to receive first accounting information fed back by a platform party business server by a preset data storage engine, and the first accounting information comprises first inventory flow record and first inventory snapshot. Second accounting information is extracted from a warehouse server provided by a warehouse party, and comprises second inventory flow and second inventory snapshot. The second accounting information is parsed, and is uploaded to the data storage engine. In the data storage engine, the first accounting information and the second accounting information are compared with each other in a specific account checking period, and difference information between the first accounting information and the second accounting information is determined. The difference information is provided. According to the invention, influences on the concrete business operation of the platform party are prevented.

Description

Inventory data account checking method and device
Technical field
The application is related to inventory data processing technology field, more particularly to inventory data account checking method and device.
Background technology
With the constantly improve of ecommerce sales platform, and the technology such as traditional communication, mobile communication is fast Speed development, increasing people to obtain oneself required commodity by way of shopping online.In order to full The demand of sufficient both parties, some sales platforms are that some special business objects (for example big household electrical appliances etc.) carry Supply unified logistics service (for example, " green hand's logistics is precious " of Alibaba etc.), this unification Logistics service is commonly referred to as 4PL.So-called 4PL refers to, platform direction third party stores in a warehouse and delivery service business This resource can be packaged into logistics' settlement scheme, in system by buying warehouse resource and dispensing resource afterwards In issued, so, businessman can according to the demand of oneself, customization platform provide logistics' settlement scheme, And carry out spreading goods etc. and operate.That is, passing through 4PL, businessman can directly be carried for it using platform For warehouse resource and dispensing resource, such that it is able to save the cost of businessman, and from warehouse resource and dispensing Resource view is said, may also operate as save resources, reduces the purpose of the wasting of resources, further, it is also possible to from whole The service quality of transaction platform is improved on body.
Knowable to the definition of above 4PL, in this system, for platform, Warehouse Service belongs to a kind of Third-party service, can be referred to as " Warehouse Service provider ", for ease of description, be referred to as " warehouse side ", unified logistics service provider such as " green hand's logistics is precious " in transaction platform is referred to as " platform Side ".
In concrete implementation scheme, warehouse side and platform side each can safeguard the storehouse of each business object Deposit data, therefore, this data positioned at different server is referred to as across source data.And in actual applications, The concrete inventory information of business object is typically expressed by platform direction businessman or buyer user, and platform side Inventory data initially know from warehouse side, that is, specific business object is entered warehouse by businessman Afterwards, warehouse is updated to its inventory data, and this inventory data is supplied to platform side, now, buys Family user can be to view specific stockpile number information in business object details page.Subsequently in buyer During user places an order, it is generally first its inventory data to be locked by platform side again, and will notify To warehouse, by warehouse execution specific delivery operation, execution is reduced to warehouse side's inventory data, then will This event of reducing notifies to platform side, and corresponding locking data is converted to and reduces by platform side again, etc..With Upper process is referred to as the data syn-chronization between source data.
But, conventionally, as needing to interact between multisystem, and dock warehouse side Ability is uneven, and a lot of inventory operations can not return in time, and therefore, it is inaccurate stock often, puts down Situations such as inventory data of the inventory data of platform side and warehouse side is inconsistent.For example, " sky cat " big household electrical appliances industry The case of business:Warehouse side finds certain cargo damage, 2 non-defective units of loss on disposal, but flat due to not being uploaded to Platform side, leads to platform side to think and can also continue to sell, and then may produce corresponding 2 transaction deliveries Single, but actually warehouse side cannot deliver, namely occur in that oversold phenomenon, etc..
In order to avoid the problems referred to above occur, can be in the way of using regular reconciliation, by warehouse side and platform side Inventory data carry out reconciliation, found difference between the two in time.But, if using traditional right Account scheme, then be typically:By way of artificial, before the goods entry, stock and sales account of warehouse side's the previous day and platform side The goods entry, stock and sales account of one day is checked.At least there is problems with this mode:
Firstly, it is necessary to take substantial amounts of human resourcess, and expend long time.Secondly, platform side Operation system, will process all kinds of orders interacting with warehouse side in a large number daily, issue, passback of packing, confirmation Go out the back delivery operations of the states such as warehouse-in.If carry out storage and the comparison of big data in operation system, can be to industry The process performance of business system produces impact.
Content of the invention
This application provides inventory data account checking method and device, the fortune to the concrete business in platform side can be avoided Row impacts.
This application provides following scheme:
A kind of inventory data account checking method, including:
Reconciliation server is by the first of the service server backflow of preset data storage engine receiving platform side Account information, the inventory change that described first account information is included according to platform side first inventory database generates First stock's Flow Record, and according to described first inventory database the specified moment state generate First stock's snapshot;
Extract the second account information from the warehouse server that warehouse side provides, described second account information includes The second stock's flowing water being generated according to the inventory change of warehouse side second inventory database, and according to described the Second stock's snapshot that the state in the described specified moment for two inventory databases generates;
Described second account information is parsed, and uploads to described data storage engine;
In described data storage engine, by the first account information in the specified reconciliation cycle and the second account Information is contrasted, and determines different information between the two;
Described different information is provided.
A kind of inventory data account checking method, including:
Platform side's service server determines the first account information, and described first account information is included according to platform side First stock's Flow Record that the inventory change of the first inventory database generates, and according to described first stock First stock's snapshot that the state in the specified moment for the data base generates;
Described first account information is back to preset data storage engine, so that reconciliation server is in Jiang Cang After the second account information that storehouse server provides is parsed and uploaded to described data storage engine, described In data storage engine, it is right that the first account information in the specified reconciliation cycle and the second account information are carried out Ratio determines different information between the two;
Wherein, the inventory change that described second account information is included according to warehouse side second inventory database generates Second stock's flowing water, and according to described second inventory database the described specified moment state generate Second stock's snapshot.
A kind of inventory data account checking method, including:
Warehouse server determines the second account information, and described second account information is included according to warehouse side second storehouse Second stock's flowing water that the inventory change in deposit data storehouse generates, and according to described second inventory database in institute State second stock's snapshot that the state in specified moment generates;
The reconciliation cycle is determined according to the time that reconciliation server is specified;
According to the described reconciliation cycle, described second stock's flowing water and described second stock's snapshot are generated account File, and it is saved in preset warehouse server, so that reconciliation server reads institute from described warehouse server State account file, after being parsed, upload to preset data storage engine, and by the first account of platform side After business information is back to described data storage engine, in described data storage engine, by the specified reconciliation cycle The first interior account information and the second account information are contrasted, and determine different information between the two;
Wherein, the inventory change that described first account information is included according to platform side first inventory database generates First stock's flowing water, and according to described first inventory database the described specified moment state generate First stock's snapshot.
A kind of inventory data account checking apparatus, are applied to reconciliation server, including:
First account information receiving unit, for by preset data storage engine receiving platform side business clothes First account information of business device backflow, described first account information is included according to platform side first inventory database First stock's Flow Record of generating of inventory change, and according to described first inventory database when specified First stock's snapshot that the state carved generates;
Second account information extraction unit, for extracting the second account from the warehouse server that warehouse side provides Information, described second account information includes the generating according to the inventory change of warehouse side second inventory database Two stock's flowing water, and the state in the described specified moment generates according to described second inventory database second Stock's snapshot;
Second account information process unit, for parsing to described second account information, and uploads to institute State data storage engine;
Account information comparison unit, in described data storage engine, by the specified reconciliation cycle One account information and the second account information are contrasted, and determine different information between the two;
Different information provides unit, for providing described different information.
A kind of inventory data account checking apparatus, are applied to platform side's service server, including:
First account information determination unit, for determining the first account information, described first account information includes First stock's Flow Record that inventory change according to platform side first inventory database generates, and according to institute State first stock's snapshot that the state in the specified moment for first inventory database generates;
First account information reflux unit, for being back to preset data storage by described first account information Engine, so that reconciliation server is parsed and is uploaded in the second account information providing warehouse server After described data storage engine, in described data storage engine, by the first account in the specified reconciliation cycle Information and the second account information are contrasted, and determine different information between the two;
Wherein, the inventory change that described second account information is included according to warehouse side second inventory database generates Second stock's flowing water, and according to described second inventory database the described specified moment state generate Second stock's snapshot.
A kind of inventory data account checking apparatus, are applied to warehouse server, including:
Second account information determination unit, for determining the second account information, described second account information includes The second stock's flowing water being generated according to the inventory change of warehouse side second inventory database, and according to described the Second stock's snapshot that the state in the described specified moment for two inventory databases generates;
Reconciliation cycle determining unit, for determining the reconciliation cycle according to the time that reconciliation server is specified;
Account file generating unit, for according to the described reconciliation cycle, by described second stock's flowing water and institute State second stock's snapshot and generate account file, and be saved in preset warehouse server, so that reconciliation server Read described account file from described warehouse server, after being parsed, upload to preset data storage engine, And after the first account information of platform side is back to described data storage engine, draw in described data storage In holding up, the first account information in the specified reconciliation cycle and the second account information are contrasted, is determined two Different information between person;
Wherein, the inventory change that described first account information is included according to platform side first inventory database generates First stock's flowing water, and according to described first inventory database the described specified moment state generate First stock's snapshot.
The specific embodiment being provided according to the application, this application discloses following technique effect:
By the embodiment of the present application, the data of platform side and warehouse side can upload to reconciliation server Data storage engine, and using this data storage engine implementation, the inventory data of platform side and warehouse side is entered Row reconciliation, it is to avoid both have differences the phenomenons such as the oversold not being found and leading to for a long time.And, by only Vertical reconciliation server executes reconciliation operation in data storage engine, it can thus be avoided having to platform side The operation of body business impacts.
Certainly, the arbitrary product implementing the application it is not absolutely required to reach all the above advantage simultaneously.
Brief description
In order to be illustrated more clearly that the embodiment of the present application or technical scheme of the prior art, below will be to enforcement Example in required use accompanying drawing be briefly described it should be apparent that, drawings in the following description are only Some embodiments of the present application, for those of ordinary skill in the art, are not paying creative work Under the premise of, other accompanying drawings can also be obtained according to these accompanying drawings.
Fig. 1 is the flow chart of the method that the embodiment of the present application provides;
Fig. 2 is the flow chart of the other method that the embodiment of the present application provides;
Fig. 3 is the flow chart of the another method that the embodiment of the present application provides;
Fig. 4 is the schematic diagram of the device that the embodiment of the present application provides;
Fig. 5 is another schematic device that the embodiment of the present application provides;
Fig. 6 is the schematic diagram of another device that the embodiment of the present application provides.
Specific embodiment
Below in conjunction with the accompanying drawing in the embodiment of the present application, the technical scheme in the embodiment of the present application is carried out clearly Chu, it is fully described by it is clear that described embodiment is only some embodiments of the present application, rather than Whole embodiments.Based on the embodiment in the application, those of ordinary skill in the art obtained all its His embodiment, broadly falls into the scope of the application protection.
In the embodiment of the present application, there is provided carry out the solution of reconciliation between warehouse side and platform side. In order to make it easy to understand, being introduced to the implementation of the embodiment of the present application on the whole first below.
First, the embodiment of the present application provides reconciliation system in platform side, and this reconciliation system can be deployed in flat In the server of platform side, for the ease of distinguishing, the server in the embodiment of the present application, reconciliation system being located claims For " reconciliation server ", platform side is used for the server executing concrete business referred to as " service server ". It should be noted that in order to avoid service operation specific to platform side impacts, this reconciliation server with Service server can be different servers.A data storage engine can be provided for this reconciliation server, This data storage engine can be used for carrying out the operation such as big data storage, calculating.
In addition, the embodiment of the present application also proposed the concept in " reconciliation cycle ", for example, it is possible to one day it was One reconciliation cycle is that is to say, that a reconciliation can be carried out daily between warehouse side and platform side.
Specifically when carrying out reconciliation, can account information based on both sides carrying out, so-called account information can To include stock's flowing water and stock's snapshot.Wherein, so-called stock's flowing water, is based in inventory database The change of inventory data and generate.So-called stock's snapshot, that is, in inventory database sometime Particular state data, for example, it may be 0:The snapshot in 00 moment, etc..For platform side and warehouse Fang Eryan, due to each safeguarding that the inventory database of platform side (is referred to as " the first storehouse by data base in stock Deposit data storehouse ", the inventory database of warehouse side is referred to as " the second inventory database "), therefore, it can point Do not get stock's snapshot of stock's flowing water in both sides' inventory database and synchronization, then than Right, to judge whether difference.
Wherein, with regard to the account information in platform side first inventory database, put down because reconciliation server is located at Platform side, therefore, it can be become according to the stock of platform side first inventory database by the service server of platform side Metaplasia becomes first stock's Flow Record, and the state in the specified moment generates first according to the first inventory database Stock's snapshot, then, this first stock's Flow Record and first stock's snapshot is back to account service Preserved in the data storage engine of device.
When implementing, with regard to the account information of platform side, service server can be back to data in real time and deposit Storage engine, or, in order to reduce the impact to service server further, can also be using periodically to data The mode of storage engines backflow.For example, it is possible to the backflow of each reconciliation cycle is once, and, execute backflow behaviour The time made can be carried out in service server " idle ".As:Assume that the reconciliation cycle is one day, then Can be in daily morning 2:00 (or can also be other times), stock's flowing water that the previous day is produced, And specified moment (for example, 0:00 etc.) stock's snapshot is back to data storage engine.In addition, also Can be by 0:2 after 00:The stock's flowing water producing before 00 is also back to data storage engine, this part The effect of data can be introduced below.
And with regard to the account information in warehouse side second inventory database, can be first by warehouse server by account Business information generates account file, and is saved in warehouse server, for example, by FTP (file transmission association View) in server, account server can extract second in the way of periodically by accessing this warehouse server Account information.For example, it is still assumed that with one day for a reconciliation cycle, then warehouse server can be often born Become an account file, and be saved in warehouse server, account server can access once this warehouse daily Server, captures this account file, therefrom extracts the second account information, and may finally upload to data Storage engines.
Wherein, the account file generating with regard to each account cycle of warehouse side, can include the current account cycle Interior stock's Flow Record and stock's snapshot, or, before the current account cycle can also be included and/or Stock's flowing water in certain period of time (such as two hours etc.) is that is to say, that warehouse server can afterwards To generate this account file after daily two o'clock in the morning, so, can include in this account file previous It and its before or after two hours stock's flowing water, the effect of this partial information can enter below Row is introduced.
In a word, for the account information of platform side, billing and accounting system can be back to by platform side's service server Data storage engine, for the account information of warehouse side, can by warehouse server provide account file, After being captured and parsed by billing and accounting system again, also upload to data storage engine.In this manner it is possible at this In data storage engine, the account information of both sides is compared, such that it is able to compare out difference between the two Different information, and then just this different information can be pushed to specific work order platform, by specific staff Different information is processed.
By the way, it is possible to achieve reconciliation is carried out to the inventory data of platform side and warehouse side, it is to avoid Both have differences the phenomenons such as the oversold not being found and leading to for a long time.And, the account information of both sides is all Can flow back or upload to data storage engine, be held in data storage engine by independent reconciliation server Row reconciliation operates, it is to avoid the operation to the concrete business in platform side impacts.
It can be seen that, in the embodiment of the present application, the entity being related to has:Reconciliation server, platform side's business clothes Business device and warehouse server, three cooperates, and realizes specific reconciliation operation.Follower angle separately below Degree sets out and concrete implementation mode is introduced.
Embodiment one
This embodiment one is introduced from the angle of reconciliation server first.Referring to Fig. 1, this embodiment one carries Supply a kind of inventory data account checking method, the method may comprise steps of:
S101:Reconciliation server is by preset data storage engine receiving platform side service server backflow First account information, described first account information includes the inventory change according to platform side first inventory database The first stock's Flow Record generating, and given birth in the state in specified moment according to described first inventory database The first stock's snapshot becoming;
As it was noted above, its first account information can be flowed back by platform side's service server in several ways To data storage engine.
S102:The second account information, described second account letter is extracted from the warehouse server that warehouse side provides Breath includes second stock's flowing water that the inventory change according to warehouse side second inventory database generates, and according to Second stock's snapshot that the state in the described specified moment for described second inventory database generates;
For the second account information of warehouse side, the repository service that can be provided from warehouse side by reconciliation server Extracted in device.When implementing, if with one day for the reconciliation cycle, reconciliation server can be daily The warehouse server that timing provides from warehouse side captures the account file in warehouse, and is saved in certain specified first clothes Under the fixing catalogue of business device.
S103:Described second account information is parsed, and uploads to described data storage engine;
The account information format of warehouse side is often different from platform side, therefore, is uploading to data storage Can also be parsed before engine.When implementing, in order to reduce further to concrete business system of platform side System produces impact, (can be had with engineering SCP of python by an other server (second server) The file of security mechanism replicates) file of this fixing catalogue in first server, next, this second service Account file is parsed by device, then uses the upload interface of data storage engine, by the second account information Pass to the specified partition of the specified table of data storage engine.
S104:In described data storage engine, by the first account information in the specified reconciliation cycle and Two account information are contrasted, and determine different information between the two;
It is possible to count after the account information by platform side and warehouse side all uploads to data storage engine Contrasted according in storage engines.Wherein, when specifically being contrasted, can be based in the same reconciliation cycle Data is contrasted.For example, when needing to carry out reconciliation to the account information on May 1, can carry first Take out on May 1 00:On 00 to May 2 00:The first inventory information between 00 and the second stock letter Breath, is then contrasted.As it is assumed that platform side May 1 part stock's flowing water as shown in table 1:
Table 1
Warehouse side is as shown in table 2 in part stock's flowing water on May 1:
Table 2
It should be noted that being directed to same business object, platform side to manage stock typically by account (as non-defective unit:100, refer to the total amount in whole warehouse for this business object), and warehouse side is according to some Individual warehouse compartment carries out stock control, and such as 100 inventory distributions are in 10 warehouse compartments, so the flowing water of warehouse side It is associated with warehouse compartment.
It is further to note that the stock's flowing water in table 1 and table 2 has relatedness that is to say, that table In 1, certain record is based on certain or a few record generation in table 2, the record in table 2 It is also likely to be to be produced based on certain in table 1 or a few records, and, this there is relatedness Record, typically can be processed by " O/No. " field embodiment.For example, by with upper table 1 and table 2 Understand, be the order of " LBX001 " for O/No., presence one is related to this order in Table 1 Record, in table 2 exist two records related to this order.Based on this order, specific applied field Scape can be:Assume that certain buyer user have purchased the business object that 5 numberings are " 10001 ", now,
5 stocks in the first inventory database for this business object can be set to lock-out state by platform side first, And notify warehouse side to carry out outbound;To the execution outbound operation of this order, wherein 3 is from warehouse compartment to warehouse policy A31 outbound, in addition 2 is from warehouse compartment A32 outbound.
Therefore, specifically when carrying out the comparison of both sides' stock's flowing water, can be carried out based on O/No..For example, For certain record of first stock's flowing water in the current reconciliation cycle, O/No. therein can be taken out, so Search the corresponding record of this O/No. in second stock's Flow Record in this reconciliation cycle afterwards, then will be identical Inventory change quantity in O/No. corresponding entry is compared.For example, for first note in table 1 Record, O/No. be " LBX001 ", the inventory change quantity in this record be " -5 ", in table 2 with should The O/No. identical of record is recorded as first and Article 2, and inventory change quantity is respectively " -3 " " -2 ", quantity sum is also " -5 ", and therefore, the stock's account information for this order does not have differences. That is, being directed to this order, between warehouse side and platform side, have been completed the synchronization of inventory data.
And it is directed to the Article 2 record in table 1, O/No. is " LBX002 ", and the stock in this record becomes Changing quantity is " -5 ", is recorded as Article 3 and Article 4 with the O/No. identical of this record in table 2, Inventory change quantity is respectively " -2 " and " -2 ", and quantity sum is " -4 " it is seen then that being directed to this order Stock's account information, has differences between platform side and warehouse side.That is, being directed to this order, storehouse The synchronization of inventory data may not yet be completed between storehouse side and platform side.
In addition, for the Article 3 record in table 1, O/No. is " LBX003 ", and does not deposit in table 2 In record corresponding with this O/No., now, also demonstrate that and have differences between the two.Furthermore, it is also possible to There is situations below:There is the record of certain O/No. in table 2, and in table 1, there is not this O/No. pair The record answered, etc..
In a word, when carrying out reconciliation, the different information determined may have with Types Below:
(1) platform side has flowing water, warehouse side not to have flowing water
(2) warehouse side has flowing water, platform side not to have flowing water
(3) there is flowing water warehouse side, platform side, but quantity is inconsistent
By the embodiment of the present application, above-mentioned various situations can be checked out, and also difference can be believed Breath is classified in the manner described above.
In addition, for stock's snapshot, platform side can be identical with the inventory data form of warehouse side, example As shown in table 3:
Table 3
Therefore, when carrying out the comparison of stock's snapshot, will be concrete in each field in stock's snapshot of both sides Value is compared.
S105:Described different information is provided.
After determining different information, work order platform can be pushed to, by related staff, difference be believed Breath carries out further verification process, to avoid oversold of leading to due to the difference on data syn-chronization etc. existing as far as possible As.
It should be noted that in the embodiment of the present application, it is to platform side and storehouse within the same reconciliation cycle Inventory data between the side of storehouse carries out reconciliation, the concept that can produce the reconciliation cycle, be because, both sides' Data syn-chronization operation execution typically within the regular hour, for example, occurs in the inventory data of one party After change, (for example, a few hours in etc.) the opposing party can be synchronized within the regular hour.
But, present inventor also finds during realizing the application:Different asynchronous systems process number According to there being a sequencing, and the problem of existence time difference, lead to when diacritical point the situation of pseudo- difference occurs. For example, the operation of warehouse side produces is 23:59:59, the time passing back to platform side is 00:00:02, per diem In the case of carrying out reconciliation, the flowing water of both sides is inconsistent, can produce difference.But in fact, this difference Different may can't lead to that the phenomenons such as oversold occur, and be purely as a result that to the reconciliation cycle and when diacritical point Definition and produce, therefore, referred to as " pseudo- difference ".On the other hand, in actual applications, warehouse side Often morning operation, warehouse itself stock's change record may even every other day just can be synchronous every several hours To platform side, therefore, if one day is the reconciliation cycle, with 00:00 be when diacritical point, then this The phenomenon of pseudo- difference then can be very many.If daily all this part variation to out, need platform side and Warehouse side provides substantial amounts of manpower to go to verify these pseudo- differences, wastes time and energy.
For this reason, in the embodiment of the present application, additionally provide following processing mode:In platform side and warehouse side When account information is provided, except when the account information in the front reconciliation cycle, the current reconciliation cycle can also be included The before and afterwards account information of a period of time, for example, before and latter two hour, etc..Tool Body, it is still assumed that the reconciliation cycle is one day, daily 00:00 be when diacritical point, then platform side is permissible In daily morning 02:Again to data storage engine backflow account information after 00, this part account information is removed Include stock's flowing water of the previous day, further comprises from 00:00 to 02:Stock's flowing water between 00.Class As, warehouse side can also be in daily morning 02:Reproduction account file after 00, and to repository service Device is preserved.
So, reconciliation server, can be first against both sides' account information when carrying out the comparison of account information Part within the current reconciliation cycle is compared, namely first to from 1 day 00 May:01 to May 2 00:00 stock's flowing water is contrasted, when find differences information after, recycle both sides 30 days 22 April: On 00 to May 1 00:00, and on May 2 00:00 to 02:00 data, partly poor to this Heteromerism evidence is verified.
For example, in aforementioned table 1 with table 2, O/No. is the stock in both sides for the record of " LBX002 " Have differences in flowing water, and 2 days 00 warehouse side's May:00 to 02:In 00 stock's flowing water, find There is this another record with regard to this O/No., and, the quantity differing before just with this record in Quantity identical, then can determine that this difference is pseudo- difference, no longer push to work order platform, so, related Staff will not receive prompting with regard to this pseudo- difference, reduce the workload of staff.
Embodiment two
This embodiment two is described from the angle of platform side's service server.Referring to Fig. 2, this embodiment two Provide a kind of inventory data account checking method, the method may comprise steps of:
S201:Platform side's service server determines the first account information, and described first account information includes basis First stock's Flow Record that the inventory change of platform side first inventory database generates, and according to described the First stock's snapshot that the state in the specified moment for one inventory database generates;
S202:Described first account information is back to preset data storage engine, so that reconciliation server After the second account information providing warehouse server is parsed and is uploaded to described data storage engine, In described data storage engine, by the first account information in the specified reconciliation cycle and the second account information Contrasted, determined different information between the two;
Wherein, the inventory change that described second account information is included according to warehouse side second inventory database generates Second stock's flowing water, and according to described second inventory database the described specified moment state generate Second stock's snapshot.
Wherein, in order to avoid substantial amounts of puppet variance data occurs, described it is back to the first of data storage engine Stock's Flow Record includes first stock's Flow Record in the described reconciliation cycle, and before the reconciliation cycle and / or preset time period afterwards in first stock's Flow Record.
Embodiment three
The angle of this warehouse server from warehouse side for the embodiment two is described, referring to Fig. 3, this embodiment Provide a kind of inventory data account checking method, the method may comprise steps of:
S301:Warehouse server determines the second account information, and described second account information is included according to warehouse side Second stock's flowing water that the inventory change of the second inventory database generates, and according to described second inventory data Second stock's snapshot that the state in the described specified moment for the storehouse generates;
S302:The reconciliation cycle is determined according to the time that reconciliation server is specified;
S303:According to the described reconciliation cycle, by described second stock's flowing water and described second stock's snapshot life Become account file, and be saved in preset warehouse server, so that reconciliation server is from described warehouse server Read described account file, after being parsed, upload to preset data storage engine, and by platform side After first account information is back to described data storage engine, in described data storage engine, it is right to specify The first account information in the account cycle and the second account information are contrasted, and determine difference letter between the two Breath;
Wherein, the inventory change that described first account information is included according to platform side first inventory database generates First stock's flowing water, and according to described first inventory database the described specified moment state generate First stock's snapshot.
In order to solve the problems, such as pseudo- difference, the account file in described account file was included in the reconciliation cycle Second stock's Flow Record, and second stock's stream in preset time period before or after the reconciliation cycle Water record.
Above example two and embodiment three are corresponding with embodiment one, be only description angle Difference, therefore, related implements the introduction referring in embodiment one, repeats no more here.
Corresponding with embodiment one, the embodiment of the present application additionally provides a kind of inventory data account checking apparatus, application In reconciliation server, referring to Fig. 4, this device can include:
First account information receiving unit 401, for by preset data storage engine receiving platform Fang Ye First account information of business server backflow, described first account information is included according to platform side's the first stock number The first stock's Flow Record generating according to the inventory change in storehouse, and referred to according to described first inventory database First stock's snapshot that the state that timing is carved generates;
Second account information extraction unit 402, for extracting second from the warehouse server that warehouse side provides Account information, the inventory change that described second account information is included according to warehouse side second inventory database generates Second stock's flowing water, and according to described second inventory database the described specified moment state generate Second stock's snapshot;
Second account information process unit 403, for parsing to described second account information, and uploads To described data storage engine;
Account information comparison unit 404, in described data storage engine, by the specified reconciliation cycle The first account information and the second account information contrasted, determine different information between the two;
Different information provides unit 405, for providing described different information.
Wherein, described second account information extraction unit specifically for:
Extract the second account information to the fixing mesh of first server from the warehouse server that warehouse side provides Record;
Described second account information process unit specifically for
Replicate described second account information using second server from the fixing catalogue of described first server, and It is analyzed, analysis result is uploaded to described data storage engine.
When implementing, described different information provides unit to include:
Difference type determination subelement, for determining the difference type of each bar different information;
There is provided subelement, for providing described different information according to described difference type.
Wherein, stock's Flow Record includes O/No. information, wherein, for same order in the first storehouse When carrying out inventory data synchronization between deposit data storehouse and the second inventory database, in stock's Flow Record of both sides O/No. information identical;Described account information comparison unit specifically for:
According to number with the presence or absence of same order in first stock's Flow Record and second stock's Flow Record In record, and the record of same order numbering, whether operation amount information is identical, determines difference between the two Different information.
When implementing, this device can also include:
Verify unit, after the described different information determined between the two, using the described reconciliation cycle Before or after first stock's Flow Record in preset time period and second stock's Flow Record, right Described reconciliation cycle memory is verified in the part of difference;
Determining unit, if for yet suffering from difference it is determined that being different information.
Corresponding with embodiment two, the embodiment of the present application additionally provides a kind of inventory data account checking apparatus, application In platform side's service server, referring to Fig. 5, this device can include:
First account information determination unit 501, for determining the first account information, described first account information The first stock's Flow Record generating including the inventory change according to platform side first inventory database, Yi Jigen The first stock's snapshot generating according to the state in the specified moment for described first inventory database;
First account information reflux unit 502, for being back to preset data by described first account information Storage engines, so as reconciliation server the second account information that warehouse server is provided parsed and on After passing to described data storage engine, in described data storage engine, by first in the specified reconciliation cycle Account information and the second account information are contrasted, and determine different information between the two;
Wherein, the inventory change that described second account information is included according to warehouse side second inventory database generates Second stock's flowing water, and according to described second inventory database the described specified moment state generate Second stock's snapshot.
Wherein, the described first stock's Flow Record being back to data storage engine was included in the described reconciliation cycle First stock's Flow Record, and the first stock in preset time period before or after the reconciliation cycle Flow Record.
Corresponding with embodiment three, the embodiment of the present application additionally provides a kind of inventory data account checking apparatus, application In warehouse server, referring to Fig. 6, this device can include:
Second account information determination unit 601, for determining the second account information, described second account information The second stock's flowing water generating including the inventory change according to warehouse side second inventory database, and according to institute State second stock's snapshot that the state in the described specified moment for second inventory database generates;
Reconciliation cycle determining unit 602, for determining the reconciliation cycle according to the time that reconciliation server is specified;
Account file generating unit 603, for according to the described reconciliation cycle, by described second stock's flowing water with And described second stock's snapshot generates account file, and it is saved in preset warehouse server, so that reconciliation clothes Business device reads described account file from described warehouse server, uploads to preset data storage after being parsed Engine, and after the first account information of platform side is back to described data storage engine, in described data In storage engines, the first account information in the specified reconciliation cycle and the second account information are contrasted, Determine different information between the two;
Wherein, the inventory change that described first account information is included according to platform side first inventory database generates First stock's flowing water, and according to described first inventory database the described specified moment state generate First stock's snapshot.
Wherein, the account file in described account file includes second stock's Flow Record in the reconciliation cycle, And second stock's Flow Record in preset time period before or after the reconciliation cycle.
By the embodiment of the present application, the data of platform side and warehouse side can upload to reconciliation server Data storage engine, and using this data storage engine implementation, the inventory data of platform side and warehouse side is entered Row reconciliation, it is to avoid both have differences the phenomenons such as the oversold not being found and leading to for a long time.And, by only Vertical reconciliation server executes reconciliation operation in data storage engine, it can thus be avoided having to platform side The operation of body business impacts.
As seen through the above description of the embodiments, those skilled in the art can be understood that this Application can be realized by the mode of software plus necessary general hardware platform.Based on such understanding, this Shen What technical scheme please substantially contributed to prior art in other words partly can be with the shape of software product Formula embodies, and this computer software product can be stored in storage medium, such as ROM/RAM, magnetic disc, CD etc., including some instructions with so that computer equipment (can be personal computer, server, Or network equipment etc.) execution each embodiment of the application or embodiment some partly described methods.
Each embodiment in this specification is all described by the way of going forward one by one, phase homophase between each embodiment As partly mutually referring to what each embodiment stressed is the difference with other embodiment. For system or system embodiment, because it is substantially similar to embodiment of the method, so description Obtain fairly simple, in place of correlation, the part referring to embodiment of the method illustrates.System described above and System embodiment is only schematically, the wherein said unit that illustrates as separating component can be or Can not be physically separate, as the part that unit shows can be or may not be physical location, May be located at a place, or can also be distributed on multiple NEs.Can be according to actual need Select the purpose to realize this embodiment scheme for some or all of module therein.Ordinary skill Personnel are not in the case of paying creative work, you can to understand and to implement.
Above to inventory data account checking method provided herein and device, it is described in detail, herein In apply specific case the principle of the application and embodiment be set forth, the explanation of above example It is only intended to help and understand the present processes and its core concept;General technology simultaneously for this area Personnel, according to the thought of the application, all will change in specific embodiments and applications.Comprehensive Upper described, this specification content should not be construed as the restriction to the application.

Claims (18)

1. a kind of inventory data account checking method is it is characterised in that include:
Reconciliation server is by the first of the service server backflow of preset data storage engine receiving platform side Account information, the inventory change that described first account information is included according to platform side first inventory database generates First stock's Flow Record, and according to described first inventory database the specified moment state generate First stock's snapshot;
Extract the second account information from the warehouse server that warehouse side provides, described second account information includes The second stock's flowing water being generated according to the inventory change of warehouse side second inventory database, and according to described the Second stock's snapshot that the state in the described specified moment for two inventory databases generates;
Described second account information is parsed, and uploads to described data storage engine;
In described data storage engine, by the first account information in the specified reconciliation cycle and the second account Information is contrasted, and determines different information between the two;
Described different information is provided.
2. method according to claim 1 it is characterised in that described from warehouse side provide warehouse The second account information is extracted in server, including:
Extract the second account information to the fixing mesh of first server from the warehouse server that warehouse side provides Record;
Described described second account information is parsed, including:
Replicate described second account information using second server from the fixing catalogue of described first server, and It is analyzed, analysis result is uploaded to described data storage engine.
3. method according to claim 1 is it is characterised in that described offer different information, including:
Determine the difference type of each bar different information;
There is provided described different information according to described difference type.
4. method according to claim 1 is it is characterised in that stock's Flow Record includes order Number information, wherein, is carried out between the first inventory database and the second inventory database for same order When inventory data is synchronous, the O/No. information in stock's Flow Record of both sides is identical;Both described determinations Between different information, including:
According to number with the presence or absence of same order in first stock's Flow Record and second stock's Flow Record In record, and the record of same order numbering, whether operation amount information is identical, determines difference between the two Different information.
5. the method according to any one of Claims 1-4 is it is characterised in that described determine two After different information between person, also include:
First stock's Flow Record in preset time period before or after using the described reconciliation cycle and Second stock's Flow Record, verifies in the part of difference to described reconciliation cycle memory;
If yet suffering from difference it is determined that being different information.
6. a kind of inventory data account checking method is it is characterised in that include:
Platform side's service server determines the first account information, and described first account information is included according to platform side First stock's Flow Record that the inventory change of the first inventory database generates, and according to described first stock First stock's snapshot that the state in the specified moment for the data base generates;
Described first account information is back to preset data storage engine, so that reconciliation server is in Jiang Cang After the second account information that storehouse server provides is parsed and uploaded to described data storage engine, described In data storage engine, it is right that the first account information in the specified reconciliation cycle and the second account information are carried out Ratio determines different information between the two;
Wherein, the inventory change that described second account information is included according to warehouse side second inventory database generates Second stock's flowing water, and according to described second inventory database the described specified moment state generate Second stock's snapshot.
7. method according to claim 6 is it is characterised in that described be back to data storage engine First stock's Flow Record first stock's Flow Record of including in the described reconciliation cycle, and reconciliation cycle Before or after first stock's Flow Record in preset time period.
8. a kind of inventory data account checking method is it is characterised in that include:
Warehouse server determines the second account information, and described second account information is included according to warehouse side second storehouse Second stock's flowing water that the inventory change in deposit data storehouse generates, and according to described second inventory database in institute State second stock's snapshot that the state in specified moment generates;
The reconciliation cycle is determined according to the time that reconciliation server is specified;
According to the described reconciliation cycle, described second stock's flowing water and described second stock's snapshot are generated account File, and it is saved in preset warehouse server, so that reconciliation server reads institute from described warehouse server State account file, after being parsed, upload to preset data storage engine, and by the first account of platform side After business information is back to described data storage engine, in described data storage engine, by the specified reconciliation cycle The first interior account information and the second account information are contrasted, and determine different information between the two;
Wherein, the inventory change that described first account information is included according to platform side first inventory database generates First stock's flowing water, and according to described first inventory database the described specified moment state generate First stock's snapshot.
9. method according to claim 8 is it is characterised in that the account in described account file is civilian Part includes second stock's Flow Record in the reconciliation cycle, and preset before or after the reconciliation cycle Second stock's Flow Record in time period.
10. a kind of inventory data account checking apparatus are it is characterised in that be applied to reconciliation server, including:
First account information receiving unit, for by preset data storage engine receiving platform side business clothes First account information of business device backflow, described first account information is included according to platform side first inventory database First stock's Flow Record of generating of inventory change, and according to described first inventory database when specified First stock's snapshot that the state carved generates;
Second account information extraction unit, for extracting the second account from the warehouse server that warehouse side provides Information, described second account information includes the generating according to the inventory change of warehouse side second inventory database Two stock's flowing water, and the state in the described specified moment generates according to described second inventory database second Stock's snapshot;
Second account information process unit, for parsing to described second account information, and uploads to institute State data storage engine;
Account information comparison unit, in described data storage engine, by the specified reconciliation cycle One account information and the second account information are contrasted, and determine different information between the two;
Different information provides unit, for providing described different information.
11. devices according to claim 10 are it is characterised in that described second account information retrieval Unit specifically for:
Extract the second account information to the fixing mesh of first server from the warehouse server that warehouse side provides Record;
Described second account information process unit specifically for
Replicate described second account information using second server from the fixing catalogue of described first server, and It is analyzed, analysis result is uploaded to described data storage engine.
12. devices according to claim 10 are it is characterised in that described different information provides unit Including:
Difference type determination subelement, for determining the difference type of each bar different information;
There is provided subelement, for providing described different information according to described difference type.
13. devices according to claim 10 are it is characterised in that stock's Flow Record includes ordering Single number information, wherein, enters between the first inventory database and the second inventory database for same order When row inventory data is synchronous, the O/No. information in stock's Flow Record of both sides is identical;Described account letter Breath comparison unit specifically for:
According to number with the presence or absence of same order in first stock's Flow Record and second stock's Flow Record In record, and the record of same order numbering, whether operation amount information is identical, determines difference between the two Different information.
14. devices according to any one of claim 10 to 13 are it is characterised in that also include:
Verify unit, after the described different information determined between the two, using the described reconciliation cycle Before or after first stock's Flow Record in preset time period and second stock's Flow Record, right Described reconciliation cycle memory is verified in the part of difference;
Determining unit, if for yet suffering from difference it is determined that being different information.
A kind of 15. inventory data account checking apparatus, it is characterised in that being applied to platform side's service server, wrap Include:
First account information determination unit, for determining the first account information, described first account information includes First stock's Flow Record that inventory change according to platform side first inventory database generates, and according to institute State first stock's snapshot that the state in the specified moment for first inventory database generates;
First account information reflux unit, for being back to preset data storage by described first account information Engine, so that reconciliation server is parsed and is uploaded in the second account information providing warehouse server After described data storage engine, in described data storage engine, by the first account in the specified reconciliation cycle Information and the second account information are contrasted, and determine different information between the two;
Wherein, the inventory change that described second account information is included according to warehouse side second inventory database generates Second stock's flowing water, and according to described second inventory database the described specified moment state generate Second stock's snapshot.
16. methods according to claim 15 are it is characterised in that the described data storage that is back to is drawn The first stock's Flow Record held up includes first stock's Flow Record in the described reconciliation cycle, and reconciliation week First stock's Flow Record in preset time period before or after phase.
A kind of 17. inventory data account checking apparatus it is characterised in that being applied to warehouse server, including:
Second account information determination unit, for determining the second account information, described second account information includes The second stock's flowing water being generated according to the inventory change of warehouse side second inventory database, and according to described the Second stock's snapshot that the state in the described specified moment for two inventory databases generates;
Reconciliation cycle determining unit, for determining the reconciliation cycle according to the time that reconciliation server is specified;
Account file generating unit, for according to the described reconciliation cycle, by described second stock's flowing water and institute State second stock's snapshot and generate account file, and be saved in preset warehouse server, so that reconciliation server Read described account file from described warehouse server, after being parsed, upload to preset data storage engine, And after the first account information of platform side is back to described data storage engine, draw in described data storage In holding up, the first account information in the specified reconciliation cycle and the second account information are contrasted, is determined two Different information between person;
Wherein, the inventory change that described first account information is included according to platform side first inventory database generates First stock's flowing water, and according to described first inventory database the described specified moment state generate First stock's snapshot.
18. devices according to claim 17 are it is characterised in that account in described account file File includes second stock's Flow Record in the reconciliation cycle, and pre- before or after the reconciliation cycle Put second stock's Flow Record in the time period.
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