CN107578329A - Automatic account checking method and system - Google Patents

Automatic account checking method and system Download PDF

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Publication number
CN107578329A
CN107578329A CN201710984541.6A CN201710984541A CN107578329A CN 107578329 A CN107578329 A CN 107578329A CN 201710984541 A CN201710984541 A CN 201710984541A CN 107578329 A CN107578329 A CN 107578329A
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China
Prior art keywords
bank
transaction information
reconciliation
information
text
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CN201710984541.6A
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Chinese (zh)
Inventor
周建胜
申世哲
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Bank of China Ltd
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Bank of China Ltd
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Publication date
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Priority to CN201710984541.6A priority Critical patent/CN107578329A/en
Publication of CN107578329A publication Critical patent/CN107578329A/en
Pending legal-status Critical Current

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Abstract

The present invention provides a kind of automatic account checking method and system.The automatic account checking method includes:Receive and classify and preserve bank's external transaction information;Extraction and external transaction information type identical bank of bank insider transaction information;According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.The present invention improves the operating efficiency of reconciliation business, saves related service personnel's plenty of time.

Description

Automatic account checking method and system
Technical field
The present invention relates to reconciliation field, in particular it relates to a kind of automatic account checking method and system.
Background technology
The fund money transfer transactions of business bank, due to being related to different systems, after each transaction cycle terminates not Reconciliation is carried out between homologous ray, it is accurate to check each transaction, particularly important for each business bank.Current silver Row system uses manual reconciliation mechanism, and after the reconciliation message that up-stream system is sent is received, business personnel performs reconciliation behaviour by hand Make to submit application, manual query reconciliation result again, treats that reconciliation finishes after a period of time, such as it is errorless after can come off duty and leave, Time-consuming effort again, ageing wretched insufficiency.
The content of the invention
The main purpose of the embodiment of the present invention is to provide a kind of automatic account checking method and system, so that a whole set of reconciliation flow Whole automated executions, the operating efficiency of reconciliation business is improved, business personnel has been liberated from heavy manual operations Come, save related service personnel's plenty of time.
To achieve these goals, the embodiment of the present invention provides a kind of automatic account checking method, including:
Receive and classify and preserve bank's external transaction information;
Extraction and external transaction information type identical bank of bank insider transaction information;
According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
In wherein a kind of embodiment, bank's external transaction information type and bank's insider transaction information type include: Multiple business message, every kind of service message include multiple business type;
Bank's external transaction information and bank's insider transaction information include:Total amount occurs for debit, total gold occurs for credit side Volume, total total amount, total stroke count occurs for debit, total stroke count occurs for credit side, debit's detail amount of money, credit side's detail amount of money and every The detailed amount of money and detailed stroke count of kind type of service.
In wherein a kind of embodiment, when bank's external transaction information is consistent with bank insider transaction information, reconciliation letter Informative text is that reconciliation is consistent information text, including the Transaction Information type that is consistent;
When bank's external transaction information and bank's insider transaction information are not inconsistent, reconciliation information text is that reconciliation is not inconsistent information Text, including it is not inconsistent Transaction Information type and every kind of detailed amount of money not being inconsistent in Transaction Information type and detailed stroke count.
In wherein a kind of embodiment, according to bank's external transaction information and bank's insider transaction information generation reconciliation information After text and output, in addition to:
Reconciliation information text generation analysis result is parsed, while preserves reconciliation information text and analysis result;
It is consistent information text if reconciliation information text is reconciliation, analysis result includes the reconciliation time;
If reconciliation information text, which is reconciliation, is not inconsistent information text, analysis result is not inconsistent in Transaction Information type including every kind of Differ the amount of money and difference stroke count.
In wherein a kind of embodiment, after preserving reconciliation information text and analysis result, in addition to:
Interface requirement tissue according to platform is sent meets the reconciliation information text and analysis result of form, generates reconciliation knot Fruit notifies;
Push reconciliation result is notified to transmission platform.
The embodiment of the present invention also provides a kind of automated reconciliation system, including:
Receiving module, bank's external transaction information is preserved for receiving and classifying;
Extraction module, for extracting and external transaction information type identical bank of bank insider transaction information;
Reconciliation information text generation module, for according to bank's external transaction information and bank's insider transaction information generation pair Account information text simultaneously exports.
In wherein a kind of embodiment, bank's external transaction information type and bank's insider transaction information type include: Multiple business message, every kind of service message include multiple business type;
Bank's external transaction information and bank's insider transaction information include:Total amount occurs for debit, total gold occurs for credit side Volume, total total amount, total stroke count occurs for debit, total stroke count occurs for credit side, debit's detail amount of money, credit side's detail amount of money and every The detailed amount of money and detailed stroke count of kind type of service.
In wherein a kind of embodiment, when bank's external transaction information is consistent with bank insider transaction information, reconciliation letter Informative text is that reconciliation is consistent information text, including the Transaction Information type that is consistent;
When bank's external transaction information and bank's insider transaction information are not inconsistent, reconciliation information text is that reconciliation is not inconsistent information Text, including it is not inconsistent Transaction Information type and every kind of detailed amount of money not being inconsistent in Transaction Information type and detailed stroke count.
In wherein a kind of embodiment, in addition to:
Parsing module, for parsing reconciliation information text generation analysis result, while protect and state reconciliation information text and parsing As a result;
It is consistent information text if reconciliation information text is reconciliation, analysis result includes the reconciliation time;
If reconciliation information text, which is reconciliation, is not inconsistent information text, analysis result is not inconsistent in Transaction Information type including every kind of Differ the amount of money and difference stroke count.
In wherein a kind of embodiment, in addition to:
Pushing module, the reconciliation information text for meeting form according to the interface requirement tissue for sending platform are tied with parsing Fruit, generation reconciliation result notice;
Push reconciliation result is notified to transmission platform.
The embodiment of the present invention also provides a kind of computer equipment, including memory, processor and storage are on a memory simultaneously The computer program that can be run on a processor, following steps are realized during computing device computer program:
Receive and classify and preserve bank's external transaction information;
Extraction and external transaction information type identical bank of bank insider transaction information;
According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
A kind of computer-readable recording medium is additionally provided in the embodiment of the present invention, is stored thereon with computer program, is counted Calculation machine program realizes following steps when being executed by processor:
Receive and classify and preserve bank's external transaction information;
Extraction and external transaction information type identical bank of bank insider transaction information;
According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
The automatic account checking method and system of the embodiment of the present invention, receive and classify and preserve bank external transaction information, then Extraction and external transaction information type identical bank of bank insider transaction information, further according to bank's external transaction information and bank Insider transaction information generates reconciliation information text and exported, and improves the operating efficiency of reconciliation business, saves related service people Member's plenty of time.
Brief description of the drawings
In order to illustrate more clearly about the embodiment of the present invention or technical scheme of the prior art, embodiment will be described below In the required accompanying drawing used be briefly described, it should be apparent that, drawings in the following description be only the present invention some Embodiment, for those of ordinary skill in the art, on the premise of not paying creative work, can also be attached according to these Figure obtains other accompanying drawings.
Fig. 1 is the flow chart of automatic account checking method in the embodiment of the present invention;
Fig. 2 is the structured flowchart of automated reconciliation system in the embodiment of the present invention.
Embodiment
Below in conjunction with the accompanying drawing in the embodiment of the present invention, the technical scheme in the embodiment of the present invention is carried out clear, complete Site preparation describes, it is clear that described embodiment is only part of the embodiment of the present invention, rather than whole embodiments.It is based on Embodiment in the present invention, those of ordinary skill in the art are obtained every other under the premise of creative work is not made Embodiment, belong to the scope of protection of the invention.
In view of current bank system uses manual reconciliation mechanism, take time and effort, ageing wretched insufficiency, the embodiment of the present invention A kind of automatic account checking method and system are provided, receives and classifies and preserve bank's external transaction information, then extraction with outside bank Transaction Information type identical bank insider transaction information, further according to bank's external transaction information and bank's insider transaction information life Into reconciliation information text and export, improve the operating efficiency of reconciliation business, save related service personnel's plenty of time.Below With reference to accompanying drawing, the present invention is described in detail.
Fig. 1 is the flow chart of automatic account checking method in the embodiment of the present invention.As shown in figure 1, automatic account checking method includes:
S101:Receive and classify and preserve bank's external transaction information.
S102:Extraction and external transaction information type identical bank of bank insider transaction information.
S103:According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
The executive agent of automatic account checking method shown in Fig. 1 can be the terminal devices such as computer, and application scenarios are business Bank etc. needs the department of reconciliation.
Flow as shown in Figure 1 is understood, present invention firstly receives bank's external transaction information, then extraction with outside bank Transaction Information type identical bank insider transaction information, generate reconciliation information text further according to Transaction Information and export.Utilize The automatic account checking method, the operating efficiency of reconciliation business can be improved, save related service personnel's plenty of time.
When performing step S102, CICS LINK (CICS link) sides can be used according to type of message Formula calls corresponding module, extraction and external transaction information type identical bank of bank insider transaction information.
In one embodiment, bank's external transaction information type and bank's insider transaction information type include:Multiple business Message, every kind of service message include multiple business type.
Bank's external transaction information and bank's insider transaction information include:Total amount occurs for debit, total gold occurs for credit side Volume, total total amount, total stroke count occurs for debit, total stroke count occurs for credit side, debit's detail amount of money, credit side's detail amount of money and every The detailed amount of money and detailed stroke count of kind type of service.
Wherein, specific the service message title and type of service of each system of bank be as shown in Table 1.
Table one
During reconciliation, debit is not required nothing more than total amount, credit side's generation total amount, total total amount, Jie Fangfa occurs Total stroke count occurs for raw total stroke count, credit side, debit's detail amount of money is consistent with credit side's detail amount of money, also requires every kind of under every kind of message The detailed amount of money of type of service is consistent with detailed stroke count.
In one embodiment, when bank's external transaction information is consistent with bank insider transaction information, reconciliation information text is Reconciliation is consistent information text, including the Transaction Information type that is consistent.When bank's external transaction information and bank's insider transaction information not Fu Shi, reconciliation information text is that reconciliation is not inconsistent information text, including is not inconsistent Transaction Information type and every kind of is not inconsistent Transaction Information class The detailed amount of money and detailed stroke count in type.
After S103 is performed, reconciliation information text can also be judged according to default time spot scan reconciliation information text Originally whether there is;If in the presence of, parsing reconciliation information text generation analysis result, while preserve reconciliation information text and tied with parsing Fruit.If being not present, next preset time point is waited to scan again.
If being consistent information text when it is implemented, reconciliation information text is reconciliation, analysis result includes the reconciliation time;It is if right Account information text is that reconciliation is not inconsistent information text, and analysis result includes every kind of difference amount of money not being inconsistent in Transaction Information type and phase The detailed different information such as poor stroke count.
In one embodiment, reconciliation information text is preserved with that after analysis result, can also include:According to connecing for transmission platform Mouth requires that tissue meets the reconciliation information text and analysis result of form, generation reconciliation result notice;Push reconciliation result notice To transmission platform.
When it is implemented, reconciliation information text and analysis result can be pushed to short message by MQ (message queue) mode Platform.The verification message that collects of small amount payment system occurs to collect verification report in daily 5 PM or so, wholesale system Whether text occurs to be configured and sent according to self-demand (whether being off duty) in 9 points or so daily of evening, reconciliation personnel SMS notification.In the case that reconciliation is not inconsistent, severity level, the reconciliation difference feelings that the amount of money is larger, severity level is higher can be distinguished Condition, on the basis of general rank personnel are notified, notify the personnel of higher level.For the personnel of different stage, send different SMS notification.Difference total amount, the total stroke count of difference are sent to high-level personnel;It is total except sending difference to general rank personnel Outside the amount of money, the total stroke count of difference, every kind of detailed amount of money not being inconsistent in Transaction Information type and detailed stroke count are also sent.In addition, The present invention can also use the modes such as transmission mail, transmission wechat to notify reconciliation personnel.
Based on same inventive concept, a kind of automated reconciliation system is additionally provided in the embodiment of the present invention, due to the Solutions of Systems Certainly the principle of problem is similar to automatic account checking method, therefore the implementation of the system may refer to the implementation of method, repeats part not Repeat again.
Fig. 2 is the structured flowchart of automated reconciliation system in the embodiment of the present invention.As shown in Fig. 2 automated reconciliation system includes:
Receiving module, bank's external transaction information is preserved for receiving and classifying;
Extraction module, for extracting and external transaction information type identical bank of bank insider transaction information;
Reconciliation information text generation module, for according to bank's external transaction information and bank's insider transaction information generation pair Account information text simultaneously exports.
In one particular embodiment of the present invention, bank's external transaction information type and bank's insider transaction information type Include:Multiple business message, every kind of service message include multiple business type;
Bank's external transaction information and bank's insider transaction information include:Total amount occurs for debit, total gold occurs for credit side Volume, total total amount, total stroke count occurs for debit, total stroke count occurs for credit side, debit's detail amount of money, credit side's detail amount of money and every The detailed amount of money and detailed stroke count of kind type of service.
In one particular embodiment of the present invention, when bank's external transaction information is consistent with bank insider transaction information When, reconciliation information text is that reconciliation is consistent information text, including the Transaction Information type that is consistent;
When bank's external transaction information and bank's insider transaction information are not inconsistent, reconciliation information text is that reconciliation is not inconsistent information Text, including it is not inconsistent Transaction Information type and every kind of detailed amount of money not being inconsistent in Transaction Information type and detailed stroke count.
In one particular embodiment of the present invention, in addition to:Parsing module, for parsing reconciliation information text generation solution Result is analysed, while preserves reconciliation information text and analysis result;
It is consistent information text if reconciliation information text is reconciliation, analysis result includes the reconciliation time;
If reconciliation information text, which is reconciliation, is not inconsistent information text, analysis result is not inconsistent in Transaction Information type including every kind of Differ the amount of money and difference stroke count.
In one particular embodiment of the present invention, in addition to:Pushing module, for according to the interface requirement for sending platform Tissue meets the reconciliation information text and analysis result of form, generation reconciliation result notice;
Push reconciliation result is notified to transmission platform.
Based on same inventive concept, a kind of computer equipment, including memory, processing are additionally provided in the embodiment of the present invention Device and storage on a memory and the computer program that can run on a processor, during computing device computer program realization with Lower step:
Receive and classify and preserve bank's external transaction information;
Extraction and external transaction information type identical bank of bank insider transaction information;
According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
Based on same inventive concept, a kind of computer-readable recording medium is additionally provided in the embodiment of the present invention, is deposited thereon Computer program is contained, following steps are realized when computer program is executed by processor:
Receive and classify and preserve bank's external transaction information;
Extraction and external transaction information type identical bank of bank insider transaction information;
According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
The automatic account checking method and system of the embodiment of the present invention, which can be received and classified, preserves bank's external transaction information, so Extraction and external transaction information type identical bank of bank insider transaction information afterwards, further according to bank's external transaction information and silver Row insider transaction information generates reconciliation information text and exported, and improves the operating efficiency of reconciliation business, saves related service Personnel's plenty of time.
The present invention can also notify to notify different business personnels, guarantee business to transmission platform by pushing reconciliation result Personnel's After Hours reconciliation work is the same to be normally carried out.
Particular embodiments described above, the purpose of the present invention, technical scheme and beneficial effect are carried out further in detail Describe in detail it is bright, should be understood that the foregoing is only the present invention specific embodiment, the guarantor being not intended to limit the present invention Scope is protected, within the spirit and principles of the invention, any modification, equivalent substitution and improvements done etc., should be included in this Within the protection domain of invention.

Claims (12)

  1. A kind of 1. automatic account checking method, it is characterised in that including:
    Receive and classify and preserve bank's external transaction information;
    Extraction and external transaction information type identical bank of bank insider transaction information;
    According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
  2. 2. automatic account checking method according to claim 1, it is characterised in that
    Bank's external transaction information type and bank's insider transaction information type include:Multiple business message, often Kind service message includes multiple business type;
    Bank's external transaction information and bank's insider transaction information include:Total amount occurs for debit, credit side occurs Total amount, total total amount, total stroke count occurs for debit, total stroke count occurs for credit side, debit's detail amount of money, credit side's detail amount of money, with And the detailed amount of money and the detailed stroke count of every kind of type of service.
  3. 3. automatic account checking method according to claim 1, it is characterised in that
    When bank's external transaction information is consistent with bank's insider transaction information, the reconciliation information text is reconciliation Be consistent information text, including the Transaction Information type that is consistent;
    When bank's external transaction information and bank's insider transaction information are not inconsistent, the reconciliation information text is reconciliation It is not inconsistent information text, including is not inconsistent Transaction Information type and every kind of detailed amount of money not being inconsistent in Transaction Information type and detailed pen Number.
  4. 4. automatic account checking method according to claim 3, it is characterised in that according to bank's external transaction information and institute After stating bank's insider transaction information generation reconciliation information text and exporting, in addition to:
    The reconciliation information text generation analysis result is parsed, while preserves the reconciliation information text and the analysis result;
    It is consistent information text if the reconciliation information text is reconciliation, the analysis result includes the reconciliation time;
    If the reconciliation information text, which is reconciliation, is not inconsistent information text, the analysis result is not inconsistent Transaction Information type including every kind of In the difference amount of money and difference stroke count.
  5. 5. automatic account checking method according to claim 4, it is characterised in that preserve the reconciliation information text and the solution After analysing result, in addition to:
    Interface requirement tissue according to platform is sent meets the reconciliation information text and analysis result of form, and generation reconciliation result is led to Know;
    The reconciliation result is pushed to notify to the transmission platform.
  6. A kind of 6. automated reconciliation system, it is characterised in that including:
    Receiving module, bank's external transaction information is preserved for receiving and classifying;
    Extraction module, for extracting and external transaction information type identical bank of bank insider transaction information;
    Reconciliation information text generation module, for according to bank's external transaction information and bank's insider transaction information life Into reconciliation information text and export.
  7. 7. automated reconciliation system according to claim 6, it is characterised in that
    Bank's external transaction information type and bank's insider transaction information type include:Multiple business message, often Kind service message includes multiple business type;
    Bank's external transaction information and bank's insider transaction information include:Total amount occurs for debit, credit side occurs Total amount, total total amount, total stroke count occurs for debit, total stroke count occurs for credit side, debit's detail amount of money, credit side's detail amount of money, with And the detailed amount of money and the detailed stroke count of every kind of type of service.
  8. 8. automated reconciliation system according to claim 6, it is characterised in that
    When bank's external transaction information is consistent with bank's insider transaction information, the reconciliation information text is reconciliation Be consistent information text, including the Transaction Information type that is consistent;
    When bank's external transaction information and bank's insider transaction information are not inconsistent, the reconciliation information text is reconciliation It is not inconsistent information text, including is not inconsistent Transaction Information type and every kind of detailed amount of money not being inconsistent in Transaction Information type and detailed pen Number.
  9. 9. automated reconciliation system according to claim 8, it is characterised in that also include:
    Parsing module, for parsing reconciliation information text generation analysis result, while preserve the reconciliation information text with The analysis result;
    It is consistent information text if the reconciliation information text is reconciliation, the analysis result includes the reconciliation time;
    If the reconciliation information text, which is reconciliation, is not inconsistent information text, the analysis result is not inconsistent Transaction Information type including every kind of In the difference amount of money and difference stroke count.
  10. 10. automated reconciliation system according to claim 8, it is characterised in that also include:
    Pushing module, for meeting the reconciliation information text and analysis result of form according to the interface requirement tissue for sending platform, Generate reconciliation result notice;
    The reconciliation result is pushed to notify to the transmission platform.
  11. 11. a kind of computer equipment, including memory, processor and storage are on a memory and the meter that can run on a processor Calculation machine program, it is characterised in that realize following steps during computer program described in the computing device:
    Receive and classify and preserve bank's external transaction information;
    Extraction and external transaction information type identical bank of bank insider transaction information;
    According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
  12. 12. a kind of computer-readable recording medium, is stored thereon with computer program, it is characterised in that the computer program Following steps are realized when being executed by processor:
    Receive and classify and preserve bank's external transaction information;
    Extraction and external transaction information type identical bank of bank insider transaction information;
    According to bank's external transaction information and bank's insider transaction information generation reconciliation information text and export.
CN201710984541.6A 2017-10-20 2017-10-20 Automatic account checking method and system Pending CN107578329A (en)

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Cited By (2)

* Cited by examiner, † Cited by third party
Publication number Priority date Publication date Assignee Title
CN108376364A (en) * 2018-02-07 2018-08-07 深圳市雁联计算系统有限公司 A kind of method, equipment and the terminal device of payment system reconciliation
CN110189219A (en) * 2019-05-05 2019-08-30 中国银行股份有限公司 A kind of account checking method and device based on parameter preprocessing

Citations (3)

* Cited by examiner, † Cited by third party
Publication number Priority date Publication date Assignee Title
CN103577571A (en) * 2013-10-31 2014-02-12 北京奇虎科技有限公司 Data processing method and device
CN106327317A (en) * 2015-06-16 2017-01-11 阿里巴巴集团控股有限公司 Data verification method and device used for computer system
CN106408410A (en) * 2016-11-29 2017-02-15 用友网络科技股份有限公司 Automatic account checking method and device

Patent Citations (3)

* Cited by examiner, † Cited by third party
Publication number Priority date Publication date Assignee Title
CN103577571A (en) * 2013-10-31 2014-02-12 北京奇虎科技有限公司 Data processing method and device
CN106327317A (en) * 2015-06-16 2017-01-11 阿里巴巴集团控股有限公司 Data verification method and device used for computer system
CN106408410A (en) * 2016-11-29 2017-02-15 用友网络科技股份有限公司 Automatic account checking method and device

Cited By (3)

* Cited by examiner, † Cited by third party
Publication number Priority date Publication date Assignee Title
CN108376364A (en) * 2018-02-07 2018-08-07 深圳市雁联计算系统有限公司 A kind of method, equipment and the terminal device of payment system reconciliation
CN108376364B (en) * 2018-02-07 2021-08-20 深圳市雁联计算系统有限公司 Payment system account checking method and device and terminal device
CN110189219A (en) * 2019-05-05 2019-08-30 中国银行股份有限公司 A kind of account checking method and device based on parameter preprocessing

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