WO2018192430A1 - 投标业务单据处理方法、装置、计算机设备和存储介质 - Google Patents
投标业务单据处理方法、装置、计算机设备和存储介质 Download PDFInfo
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- WO2018192430A1 WO2018192430A1 PCT/CN2018/083150 CN2018083150W WO2018192430A1 WO 2018192430 A1 WO2018192430 A1 WO 2018192430A1 CN 2018083150 W CN2018083150 W CN 2018083150W WO 2018192430 A1 WO2018192430 A1 WO 2018192430A1
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- G—PHYSICS
- G06—COMPUTING; CALCULATING OR COUNTING
- G06Q—INFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
- G06Q40/00—Finance; Insurance; Tax strategies; Processing of corporate or income taxes
- G06Q40/06—Asset management; Financial planning or analysis
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- G—PHYSICS
- G06—COMPUTING; CALCULATING OR COUNTING
- G06Q—INFORMATION 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
- G06Q10/00—Administration; Management
- G06Q10/10—Office automation; Time management
- G06Q10/103—Workflow collaboration or project management
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- G—PHYSICS
- G06—COMPUTING; CALCULATING OR COUNTING
- G06Q—INFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
- G06Q40/00—Finance; Insurance; Tax strategies; Processing of corporate or income taxes
- G06Q40/08—Insurance
Definitions
- the present application relates to a method, an apparatus, a computer device and a storage medium for processing a bidding business document.
- a method, apparatus, computer device, and storage medium for processing a bidding business document are provided.
- a method for processing a bidding business document includes:
- the queried fund bidding documents are combined to generate a bidding document.
- a bidding business document processing device includes:
- a document obtaining module configured to acquire a fund bidding document reported by at least one first terminal that is respectively logged in with different investment manager accounts;
- the wind control approval module is configured to perform wind control determination on each fund bidding document; the fund bidding document determined by the wind control is sent to the second terminal registered with the risk control examiner account for risk control approval;
- An instruction receiving module configured to receive a document consolidation instruction sent by a third terminal that is logged in by the bidding trader
- a document inquiry module configured to extract a bid item identifier in the document consolidation instruction; and query, in a fund bidding document approved by the wind control, a fund bidding document corresponding to the extracted bid item identifier;
- the document consolidation module is configured to combine the queried fund bidding documents to generate a bidding document.
- a computer device comprising a memory and one or more processors having stored therein computer readable instructions, the computer readable instructions being executed by the one or more processors such that the one or more The processor implements the steps of the bidding business document processing method provided in any one of the embodiments of the present application.
- One or more non-transitory computer readable storage media storing computer readable instructions, which when executed by one or more processors, cause the one or more processors to implement any of the present application.
- FIG. 1 is an application environment diagram of a bidding business document processing method in accordance with one or more embodiments.
- FIG. 2 is a block diagram of a server in a bidding business document processing system in accordance with one or more embodiments.
- FIG. 3 is a flow diagram of a method for processing a bidding business document in accordance with one or more embodiments.
- FIG. 4 is a flow diagram of the steps of winning a bid in accordance with one or more embodiments.
- FIG. 5 is a flow diagram of the steps of stamping an electronic seal in accordance with one or more embodiments.
- FIG. 6 is a block diagram of a bidding business document processing apparatus in accordance with one or more embodiments.
- Figure 7 is a block diagram of a bidding business document processing apparatus in another embodiment.
- FIG. 1 is an application environment diagram of a method for processing a bidding business document in an embodiment.
- the bidding business document processing method is applied to a bidding business document processing system.
- the bidding business document processing system includes a first terminal 110, a second terminal 120, a third terminal 130, and a server 140.
- the first terminal 110, the second terminal 120, and the third terminal 130 are connected to the server 140 through a network.
- the first terminal 110, the second terminal 120, and the third terminal 130 may be fixed terminals or mobile terminals, and the mobile terminal may specifically be at least one of a tablet computer, a smart phone, a personal data assistant, and a digital camera.
- FIG. 2 is a schematic diagram showing the internal structure of the server 140 in the bidding business document processing system of FIG. 1 in an embodiment.
- the server 140 includes a processor, a non-volatile storage medium, an internal memory, and a network interface connected by a system bus.
- the non-volatile storage medium of server 140 stores an operating system and computer readable instructions.
- the processor is used to provide computing and control capabilities to support the operation of the entire server 140, and the internal memory in the server 140 provides an environment for the operation of the operating system and computer readable instructions in the non-volatile storage medium.
- the computer readable instructions when executed by the processor, cause the processor to perform a bidding business document processing method.
- the network interface is used for network communication with the first terminal 110, the second terminal 120, and the third terminal 130.
- FIG. 2 is only a block diagram of a part of the structure related to the solution of the present application, and does not constitute a limitation on the server to which the solution of the present application is applied.
- the specific server may include a ratio. More or fewer components are shown in the figures, or some components are combined, or have different component arrangements.
- a method for processing a bidding business document is provided.
- the method is applied to the server 140 in the bidding business document processing system of FIG. 1 to illustrate the method.
- the method specifically includes the following. content:
- the server 140 is connected to the at least one first terminal 110 through a network, and each of the first terminals 110 is registered with an investment manager account.
- the first terminal 110 can log in to multiple different investment manager accounts, or the different first terminals 110 can log in to different investment manager accounts.
- the investment manager logs in to the first terminal 110 using the investment manager account, and inputs the fund bid information in the first terminal 110.
- the first terminal 110 generates a fund bidding document according to the input fund bid information, and transmits the generated fund bidding document to the server 140.
- the server 140 receives a plurality of fund bidding documents sent by the first terminal 110.
- the fund bidding information includes at least one of a funded fund logo, a bidding company logo, a bid quantity, a bid position, a total bid amount, a bidding company logo, and a bidding company operation status.
- the server 140 extracts the fund bidding information in the fund bidding document, determines the risk bidding data according to the extracted fund bidding information, and generates a bidding risk index according to the risk bidding data.
- the server 140 obtains a preset bid risk threshold, compares the generated bid risk index with a preset bid risk threshold, and determines whether the fund bid document passes the wind control determination according to the comparison result.
- the server 140 compares the generated bid risk index with a preset bid risk threshold. If the generated bid risk index is less than the preset bid risk threshold, it indicates that the risk is determined by the wind control; If the risk index is greater than or equal to the preset bid risk threshold, the identification is not determined by the wind control.
- S306 Send the fund bidding document determined by the wind control to the second terminal registered by the risk control approver account to perform the wind control approval.
- the server 140 queries the second terminal 120 that is logged in with the risk control approver account, and sends the fund bidding document that has undergone the risk control determination to the queried second terminal 120.
- the wind control approver checks the fund bidding documents through the second terminal 120, and performs risk control approval on the fund bidding documents. If the approval is passed, the approval approval information is input in the second terminal 120.
- the second terminal 120 uploads the approval approval information to the server 140, and the server 140 stores the approval approval information corresponding to the fund bidding document.
- the bidding trader logs in to the third terminal 130 with the bid trader account, and inputs the bid item identifier in the third terminal 130.
- the bid item identifier is used to uniquely identify the bid item, and the bid item identifier may specifically be at least one of a bid item name, a bid item number, and a security code.
- the third terminal 130 generates a document merging instruction according to the input bid item identifier, and transmits the document merging instruction to the server 140.
- the bid merger order may also include a bid trader account number.
- the server 140 receives the document merge instruction sent by the third terminal 130.
- the server 140 parses the received document consolidation instruction, and extracts the bid item identifier in the document consolidation instruction by parsing.
- the server 140 queries the fund bidding document approved by the wind control, and the fund bidding document approved by the wind control approval includes the bid item identifier.
- the server 140 queries the fund bidding document corresponding to the extracted bid item identifier in the fund bidding document approved by the wind control.
- the bidding items corresponding to the fund bidding documents are the same.
- the server 140 extracts the fund bid information in the queried fund bidding documents, merges the queried fund bidding documents, and combines and generates the bidding documents.
- the bidding document includes the fund bidding documents that are queried after the merger, and may also include at least one of the capital company information and the funding fund information.
- the method further includes: obtaining an investment item identifier in the bid file; querying the obtained broker account corresponding to the obtained investment item identifier; and applying the bid file to the sixth registered by the queried broker account terminal.
- the server 140 After the server 140 generates the bid file, the investment item identifier in the bid file is extracted, and the broker account number corresponding to the investment item identifier is queried in the stored broker account.
- the server 140 is connected to the sixth terminal through the network, and the sixth terminal is registered with the broker account.
- the server 140 sends the bid file to the sixth terminal registered with the queried broker account to complete the delivery of the bid file.
- different investment managers report the fund bidding documents to the fund bidding documents through the first terminal registered by each of them, and send the fund bidding documents determined by the wind control to the wind control approver account.
- the second terminal enables the wind control examiner to conduct risk control approval for the fund bidding documents through the second terminal.
- the whole bidding document generation process does not need to manually understand the content of each fund investment document, saves the time spent manually understanding the fund investment document content, and directly merges according to the document consolidation instruction sent by the investment trader through the third terminal, thereby generating
- the bidding documents have improved the efficiency of the bidding documents.
- step S314 further includes a step of winning the verification, the step specifically including the following:
- the bidding trader inputs the winning bid confirmation information in the third terminal 130 registered with the bidding trader account.
- the winning bid confirmation information includes at least one of the winning bid item identifier, the winning bid rate, the winning bid position, the winning bid price, the winning bid amount, and the winning company.
- the server 140 receives the winning confirmation information returned by the third terminal 130.
- the server 140 extracts the bid item identifier and the bid trader account number in the winning bid confirmation information.
- the bidding transaction account number and the corresponding bid item identifier stored by the server 140 are verified for the extracted bid item identifier and the bidder's account number. If the extracted bid item identifier corresponds to the bidder's account number, the verification is passed, and S406 is executed.
- S406 Query an investment manager account corresponding to the bid item identifier.
- the server 140 stores the bid item identifier and the investment manager account corresponding to the bid item identifier. After the server 140 extracts the bid item identifier extracted from the bid confirmation information, the server manager accounts the account corresponding to the extracted bid item identifier in the stored investment manager account.
- the bid item identifier can correspond to multiple investment manager accounts.
- S408 Send the winning confirmation information to the first terminal that is logged in by the queried investment manager account.
- the server 140 obtains the terminal address corresponding to the queried investment manager account, and sends the winning confirmation information to the first terminal 110 registered with the queried investment manager account according to the queried terminal address.
- Fund contribution information includes investment project identification, fund contribution amount, fund contribution share and fund fund number.
- the first terminal 110 reports the input fund contribution information to the server 140.
- the server 140 receives the fund contribution information reported by the first terminal 110.
- S412 Send the fund contribution information to the second terminal for risk control approval.
- the server 140 receives the fund contribution information reported by the plurality of first terminals 110, and sends the fund contribution information corresponding to the same investment item identifier to the second terminal 120.
- the wind terminal approver account is registered in the second terminal 120, and the risk control approver approves the fund contribution information through the second terminal 120. If the approval is passed, the wind control examiner inputs the approval approval information in the second terminal 120.
- the server 140 receives the approval approval information returned by the second terminal 120, and stores the approval approval information and the fund contribution information.
- the server 140 queries the fund accounting account and obtains the terminal address corresponding to the queried fund accounting account.
- the server 140 queries the fund contribution information approved by the wind control in the stored fund contribution information, and sends the fund contribution information approved by the wind control to the fourth terminal according to the queried terminal address, and the fund account account is registered in the fourth terminal.
- the fund accountant checks the fund contribution information approved by the wind control through the fourth terminal, performs fund operation through the fourth terminal according to the fund contribution information, the fourth terminal generates fund operation information according to the fund operation, and the fourth terminal returns the fund operation information.
- the capital operation information may be at least one of fund transfer information, fee payment information, and fund freeze information.
- the server 140 receives the fund operation information returned by the fourth terminal, extracts the fund identifier in the fund operation information, queries the fund information corresponding to the extracted fund identifier, and updates the queried fund information according to the fund operation information. .
- the fund operation information allocates part of the funds from the fund corresponding to the fund identification, subtracts the allocated amount of funds from the remaining fund amount of the fund information, obtains the updated remaining fund amount, and stores the updated remaining fund amount. Updated fund information.
- the bidding trader triggers the bid winning confirmation process, and after receiving the winning bid confirmation information registered by the bidding trader account, acquiring the fund contribution information returned by the first terminal registered by the investment manager account according to the winning bid confirmation information, The fund contribution information is sent to the second terminal registered with the risk control approver account for risk control approval, and the fund contribution information approved by the wind control is sent to the fourth terminal registered with the fund accounting account for fund operation, so that the complete fund is funded.
- the transmission of information does not require manual transmission, which improves the efficiency of information transmission and improves the operational efficiency of funds after winning the bid.
- S412 specifically includes the step of stamping an electronic seal, and the step specifically includes the following:
- the server 140 obtains the input fund contribution information from the first terminal 110 registered with the investment manager account, and sends the obtained fund contribution information to the second terminal 120 registered with the risk control approver account.
- the wind control examiner approves the fund contribution information through the second terminal 120, and if the approval is passed, the wind control examiner inputs the approval approval information in the second terminal 120.
- the server 140 receives the approval approval information returned by the second terminal 120, and stores the approval approval information and the fund contribution information.
- the server 140 extracts the fund contribution contract module and generates a contract number, and fills in the fund numbering contract module with the contract number, the approval confirmation information, and the gold contribution information to generate a fund contribution contract.
- the server 140 After generating the fund contribution contract, the server 140 generates a seal application request according to the contract number, and sends the fund contribution contract and the seal application request to the fifth terminal registered with the seal administrator account.
- the fifth terminal extracts the contract number in the seal application request, compares the extracted contract number with the contract number in the fund contribution contract, and if yes, generates a seal usable notification.
- the electronic seal is stamped into the fund contribution contract through the fifth terminal.
- the server 140 receives the fund contribution contract with the electronic seal returned by the fifth terminal, and the wind control approval of the complete fund contribution.
- the manual processing of the fund contribution information is reduced, and the degree of electronic processing is increased, so that the fund contribution information is improved during the risk control approval process of the fund contribution. Processing efficiency.
- FIGS. 3-5 are sequentially displayed as indicated by the arrows, these steps are not necessarily performed in the order indicated by the arrows. Except as explicitly stated herein, the execution of these steps is not strictly limited, and the steps may be performed in other orders. Moreover, at least some of the steps in FIGS. 3-5 may include a plurality of sub-steps or stages, which are not necessarily performed at the same time, but may be executed at different times, these sub-steps or stages The order of execution is not necessarily performed sequentially, but may be performed alternately or alternately with at least a portion of other steps or sub-steps or stages of other steps.
- a bidding business document processing apparatus 600 is provided.
- the apparatus specifically includes: a document obtaining module 602, a wind control approval module 604, an instruction receiving module 606, a document inquiry module 608, and a document. Merge module 610.
- the document obtaining module 602 is configured to obtain a fund bidding document reported by at least one first terminal that is respectively logged in with different investment manager accounts.
- the wind control approval module 604 is configured to perform wind control determination on each fund bidding document; the fund bidding document determined by the wind control is sent to the second terminal registered with the risk control approver account for risk control approval.
- the instruction receiving module 606 is configured to receive a document combining instruction sent by a third terminal that is logged in by the bidding trader.
- the document query module 608 is configured to extract the bid item identifier in the document consolidation instruction; and query the fund bid document corresponding to the extracted bid item identifier in the fund bidding document approved by the wind control.
- the document merging module 610 is configured to combine the queried fund bidding documents to generate a bidding document.
- different investment managers report the fund bidding documents to the fund bidding documents through the first terminal registered by each of them, and send the fund bidding documents determined by the wind control to the wind control approver account.
- the second terminal enables the wind control examiner to conduct risk control approval for the fund bidding documents through the second terminal.
- the whole bidding document generation process does not need to manually understand the content of each fund investment document, saves the time spent manually understanding the fund investment document content, and directly merges according to the document consolidation instruction sent by the investment trader through the third terminal, thereby generating
- the bidding documents have improved the efficiency of the bidding documents.
- the bidding service document processing apparatus 600 further includes: an information receiving module 612, an identifier extracting module 614, an account querying module 616, an information sending module 618, a funding information receiving module 620, and a capital contribution.
- the information receiving module 612 is configured to receive the winning bid confirmation information returned by the third terminal.
- the identifier extraction module 614 is configured to extract the bid item identifier in the winning bid confirmation information.
- the account inquiry module 616 is configured to query an investment manager account corresponding to the bid item identifier.
- the information sending module 618 is configured to send the winning bid confirmation information to the first terminal that is logged in by the queried investment manager account.
- the fund information receiving module 620 is configured to receive the fund contribution information reported by the first terminal according to the winning bid confirmation information.
- the investment information approval module 622 is configured to send the fund contribution information to the second terminal for risk control approval.
- the fund information sending module 624 is configured to send the fund contribution information approved by the wind control to the fourth terminal registered with the fund accounting account.
- the operation information receiving module 626 is configured to receive the fund operation information returned by the fourth terminal after performing the fund operation according to the fund contribution information approved by the wind control;
- the fund information adjustment module 628 is configured to adjust the fund information according to the fund operation information.
- the risk control approval module 604 is further configured to send the fund contribution information to the second terminal, receive the approval confirmation information returned by the second terminal according to the fund contribution information, and generate the fund according to the approval confirmation information and the fund contribution information.
- the capital contribution contract is sent to the fifth terminal registered with the seal administrator account; and the fund investment contract with the electronic seal returned by the fifth terminal is received to complete the risk control approval.
- the document merging module 610 is further configured to obtain an investment item identifier in the bid file; query the broker account number corresponding to the obtained investment item identifier; and send the bid file to the registrar account number registered Six terminals.
- the bidding trader triggers the bid winning confirmation process, and after receiving the winning bid confirmation information registered by the bidding trader account, acquiring the fund contribution information returned by the first terminal registered by the investment manager account according to the winning bid confirmation information, The fund contribution information is sent to the second terminal registered with the risk control approver account for risk control approval, and the fund contribution information approved by the wind control is sent to the fourth terminal registered with the fund accounting account for fund operation, so that the complete fund is funded.
- the transmission of information does not require manual transmission, which improves the efficiency of information transmission and improves the operational efficiency of funds after winning the bid.
- bidding business document processing apparatuses may be implemented in whole or in part by software, hardware, and a combination thereof.
- Each of the above modules may be embedded in or independent of the processor in the computer device, or may be stored in a memory in the computer device in a software form, so that the processor invokes the operations corresponding to the above modules.
- a computer device comprising a memory and one or more processors having stored therein computer readable instructions, the computer readable instructions being executed by one or more processors such that one or more processors implement any of the present application.
- One or more non-transitory computer readable storage mediums storing computer readable instructions, when executed by one or more processors, cause one or more processors to be implemented in any one embodiment of the present application. The steps provided in the bidding business document processing method.
- Non-volatile memory can include read only memory (ROM), programmable ROM (PROM), electrically programmable ROM (EPROM), electrically erasable programmable ROM (EEPROM), or flash memory.
- Volatile memory can include random access memory (RAM) or external cache memory.
- RAM is available in a variety of formats, such as static RAM (SRAM), dynamic RAM (DRAM), synchronous DRAM (SDRAM), double data rate SDRAM (DDRSDRAM), enhanced SDRAM (ESDRAM), synchronization chain.
- SRAM static RAM
- DRAM dynamic RAM
- SDRAM synchronous DRAM
- DDRSDRAM double data rate SDRAM
- ESDRAM enhanced SDRAM
- Synchlink DRAM SLDRAM
- Memory Bus Radbus
- RDRAM Direct RAM
- DRAM Direct Memory Bus Dynamic RAM
- RDRAM Memory Bus Dynamic RAM
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Abstract
一种投标业务单据处理方法,包括:获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据;对各基金投标单据进行风控判定;将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批;接收以投标交易员登录的第三终端发送的单据合并指令;提取单据合并指令中的投标项目标识;在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据;将查询到的基金投标单据进行合并生成投标文件。
Description
本申请要求于2017年4月18日提交中国专利局,申请号为2017102546733,申请名称为“投标业务单据处理方法、装置、计算机设备和存储介质”的中国专利申请的优先权,其全部内容通过引用结合在本申请中。
本申请涉及一种投标业务单据处理方法、装置、计算机设备和存储介质。
随着网络技术和计算机技术的发展,越来越多的业务信息都依赖于网络和计算机进行传输和处理。在基金投标过程中,会存在较多的投标业务单据。
然而,发明人意识到,传统的基金投标过程中,对这些投标业务单据,有时需要将业务单据进行合并,都是通过人工处理和传输。人工对这些业务单据进行合并,需要了解每个业务单据的内容,在根据每个业务单据的内容制作一张新的业务单据,使得投标业务单据的处理效率较低。
发明内容
根据本申请公开的各种实施例,提供一种投标业务单据处理方法、装置、计算机设备和存储介质。
一种投标业务单据处理方法包括:
获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据;
对各基金投标单据进行风控判定;
将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批;
接收以投标交易员登录的第三终端发送的单据合并指令;
提取所述单据合并指令中的投标项目标识;
在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据;及
将查询到的基金投标单据进行合并生成投标文件。
一种投标业务单据处理装置包括:
单据获取模块,用于获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据;
风控审批模块,用于对各基金投标单据进行风控判定;将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批;
指令接收模块,用于接收以投标交易员登录的第三终端发送的单据合并指令;
单据查询模块,用于提取所述单据合并指令中的投标项目标识;在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据;及
单据合并模块,用于将查询到的基金投标单据进行合并生成投标文件。
一种计算机设备,包括存储器和一个或多个处理器,所述存储器中储存有计算机可读指令,所述计算机可读指令被所述一个或多个处理器执行时,使得所述一个或多个处理器实现本申请任意一个实施例中提供的投标业务单据处理方法的步骤。
一个或多个存储有计算机可读指令的非易失性计算机可读存储介质,所述计算机可读指令被一个或多个处理器执行时,使得所述一个或多个处理器实现本申请任意一个实施例中提供的投标业务单据处理方法的步骤。
本申请的一个或多个实施例的细节在下面的附图和描述中提出。本申请的其它特征和优点将从说明书、附图以及权利要求书变得明显。
为了更清楚地说明本申请实施例中的技术方案,下面将对实施例中所需要使用的附图作简单地介绍,显而易见地,下面描述中的附图仅仅是本申请的一些实施例,对于本领域普通技术人员来讲,在不付出创造性劳动的前提下,还可以根据这些附图获得其它的附图。
图1为根据一个或多个实施例中投标业务单据处理方法的应用环境图。
图2为根据一个或多个实施例中投标业务单据处理系统中的服务器的框图。
图3为根据一个或多个实施例中投标业务单据处理方法的流程示意图。
图4为根据一个或多个实施例中中标确认的步骤的流程示意图。
图5为根据一个或多个实施例中加盖电子印章的步骤的流程示意图。
图6为根据一个或多个实施例中投标业务单据处理装置的框图。
图7为另一个实施例中投标业务单据处理装置的框图。
为了使本申请的技术方案及优点更加清楚明白,以下结合附图及实施例,对本申请进行进一步详细说明。应当理解,此处所描述的具体实施例仅仅用以解释本申请,并不用于限定本申请。
图1为一个实施例中投标业务单据处理方法的应用环境图。参照图1,该投标业务单据处理方法应用于投标业务单据处理系统。投标业务单据处理系统包括第一终端110、第二终端120、第三终端130和服务器140,第一终端110、第二终端120和第三终端130通过网络与服务器140连接。第一终端110、第二终端120和第三终端130可以是固定终端或移动终端,移动终端具体可以是平板电脑、智能手机、个人数据助理和数码相机中的至少一种。
图2为一个实施例中图1投标业务单据处理系统中的服务器140的内部结构示意图。如图2所示,该服务器140包括通过系统总线连接的处理器、非易失性存储介质、内存储器和网络接口。服务器140的非易失性存储介质存储有操作系统和计算机可读指令。处理器用于提供计算和控制能力,支撑整个服务器140的运行,服务器140中的内存储器为非易失性存储介质中的操作系统和计算机可读指令的运行提供环境。该计算机可读指令被处理器执行时,可使得处理器执行一种投标业务单据处理方法。网络接口用于与第一终端110、第二终端120和第三终端130进行网络通信。
本领域技术人员可以理解,图2中示出的结构,仅仅是与本申请方案相关的部分结构的框图,并不构成对本申请方案所应用于其上的服务器的限定,具体的服务器可以包括比图中所示更多或更少的部件,或者组合某些部件,或者具有不同的部件布置。
如图3所示,在其中一个实施例中,提供一种投标业务单据处理方法,本实施例以该 方法应用在图1投标业务单据处理系统中的服务器140来举例说明,该方法具体包括以下内容:
S302,获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据。
具体地,服务器140通过网络与至少一个第一终端110连接,每个第一终端110中均登录有投资经理账号。其中,一个第一终端110上可以登录多个不同的投资经理账号,或者,不同的第一终端110上登录不同的投资经理账号。投资经理使用投资经理账号登录第一终端110,在第一终端110中输入基金投标信息。第一终端110根据输入的基金投标信息生成基金投标单据,将生成的基金投标单据发送至服务器140。服务器140接收多个第一终端110发送的基金投标单据。基金投标信息中包括出资基金标识、投标公司标识、投标数量、标位、投标总额、招标公司标识和招标公司经营情况中的至少一种。
S304,对各基金投标单据进行风控判定。
具体地,对于每个基金投标单据,服务器140提取基金投标单据中的基金投标信息,根据提取到的基金投标信息确定风险投标数据,根据风险投标数据生成投标风险指数。服务器140获取预设的投标风险阈值,将生成的投标风险指数与预设的投标风险阈值比较,根据比较结果确定基金投标单据是否通过风控判定。
在其中一个实施例中,服务器140将生成的投标风险指数与预设的投标风险阈值进行比较,若生成的投标风险指数小于预设的投标风险阈值,则表示通过风控判定;若生成的投标风险指数大于等于预设的投标风险阈值,则标识未通过风控判定。
S306,将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批。
具体地,服务器140查询以风控审批员账号登录的第二终端120,将经过风控判定的基金投标单据发送至查询到的第二终端120。风控审批员通过第二终端120查看基金投标单据,对基金投标单据进行风控审批,若审批通过,在第二终端120中输入审批通过信息。第二终端120将审批通过信息上传至服务器140,服务器140将审批通过信息与基金投标单据对应存储。
S308,接收以投标交易员登录的第三终端发送的单据合并指令。
具体地,投标交易员以投标交易员账号登录第三终端130,在第三终端130中输入投标项目标识。投标项目标识用于唯一标识投标项目,投标项目标识具体可以是投标项目名称、投标项目编号和证券代码中的至少一种。第三终端130根据输入的投标项目标识生成单据合并指令,将单据合并指令发送至服务器140。单据合并指令中还可以包括投标交易员账号。服务器140接收第三终端130发送的单据合并指令。
S310,提取单据合并指令中的投标项目标识。
具体地,服务器140对接收到的单据合并指令进行解析,通过解析提取单据合并指令中的投标项目标识。
S312,在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据。
具体地,服务器140在从单据合并指令中提取到投标项目标识后,查询通过风控审批的基金投标单据,通过风控审批的基金投标单据中包括投标项目标识。服务器140在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据。查询到的基金投标单据所对应的投标项目相同。
S314,将查询到的基金投标单据进行合并生成投标文件。
具体地,服务器140提取查询到的基金投标单据中的基金投标信息,将查询到的基金投标单据进行合并,经过合并生成投标文件。投标文件包括合并后的查询到的基金投标单据,还可以包括出资公司信息和出资基金信息中的至少一种。
在其中一个实施例中,S314之后具体还包括:获取投标文件中的投资项目标识;查询获取到的投资项目标识对应的券商账号;将投标文件发用至以查询到的券商账号登录的第六终端。
具体地,服务器140生成投标文件后,提取投标文件中的投资项目标识,在存储的券商账号中查询与投资项目标识对应的券商账号。服务器140通过网络连接有第六终端,第六终端中登录有券商账号。服务器140将投标文件发送至以查询到的券商账号登录的第六终端,以完成投标文件的投递。
本实施例中,不同的投资经理通过各自登录的第一终端上上报基金投标单据,对各基金投标单据进行风控判定,将通过风控判定的基金投标单据发送至以风控审批员账号登录 的第二终端,使风控审批员通过第二终端对基金投标单据进行风控审批。接收投标交易员通过第三终端发送的携带有投标项目标识的单据合并指令,根据与投标项目标识对应的且通过风控审批的基金投标单据进行合并生成投标文件。整个投标文件的生成过程,无需人工了解每个基金投资单据的内容,节省了人工了解基金投资单据内容所耗费的时间,直接根据投资交易员通过第三终端发送的单据合并指令进行合并,从而生成投标文件,提高了投标文件的生成效率。
如图4所示,在其中一个实施例中,S314之后还包括中标确认的步骤,该步骤具体包括以下内容:
S402,接收第三终端返回的中标确认信息。
具体地,投标交易员在将投标文件投递至招标方之后,接收到招标方反馈会的中标信息后,招标交易员在以招标交易员账号登录的第三终端130中输入中标确认信息。中标确认信息包括中标的投标项目标识、中签利率、中签标位、中签价格、中签数量和中签公司中的至少一种。服务器140接收第三终端130返回的中标确认信息。
S404,提取中标确认信息中的投标项目标识。
具体地,服务器140在接收到第三终端130返回的中标确认信息后,提取中标确认信息中的投标项目标识和投标交易员账号。服务器140存储的投标交易账号和对应的投标项目标识对提取到的投标项目标识和投标交易员账号将验证,若提取到的投标项目标识与投标交易员账号对应,则验证通过,执行S406。
S406,查询投标项目标识对应的投资经理账号。
具体地,服务器140中存储着投标项目标识和与投标项目标识对应的投资经理账号。服务器140从中标确认信息中提取到的投标项目标识后,在存储的投资经理账号中查询与提取到的投标项目标识对应的投资经理账号。投标项目标识可以对应多个投资经理账号。
S408,将中标确认信息发送至以查询到的投资经理账号登录的第一终端。
具体地,服务器140获取查询到的投资经理账号对应的终端地址,根据查询到的终端地址将中标确认信息发送至以查询到的投资经理账号登录的第一终端110。
S410,接收第一终端根据中标确认信息上报的基金出资信息。
具体地,投资经理通过第一终端110查看中标确认信息后,在第一终端110中输入基 金出资信息。基金出资信息包括投资项目标识、基金出资金额、基金出资份额和出资基金编号。第一终端110将输入的基金出资信息上报至服务器140。服务器140接收第一终端110上报的基金出资信息。
S412,将基金出资信息发送至第二终端进行风控审批。
具体地,服务器140接收多个第一终端110上报的基金出资信息,将同一投资项目标识对应的基金出资信息发送至第二终端120。第二终端120中登录有风控审批员账号,风控审批员通过第二终端120对基金出资信息进行审批,若审批通过,风控审批员在第二终端120中输入审批通过信息。服务器140接收第二终端120返回的审批通过信息,将审批通过信息与基金出资信息对应存储。
S414,将通过风控审批的基金出资信息发送至以基金会计账号登录的第四终端。
具体地,服务器140查询基金会计账号,获取与查询到的基金会计账号对应的终端地址。服务器140在存储的基金出资信息中查询通过风控审批的基金出资信息,将通过风控审批的基金出资信息根据查询到的终端地址发送至第四终端,第四终端中登录有基金会计账号。
S416,接收第四终端根据通过风控审批的基金出资信息进行资金操作后返回的资金操作信息。
具体地,基金会计通过第四终端查看通过风控审批的基金出资信息,根据基金出资信息通过第四终端进行资金操作,第四终端根据资金操作生成资金操作信息,第四终端将资金操作信息返回至服务器140。资金操作信息可以是资金划拨信息、费用缴纳信息和资金冻结信息中的至少一种。
S418,根据资金操作信息调整基金信息。
具体地,服务器140在接收到第四终端返回的资金操作信息,提取资金操作信息中的基金标识,查询与提取到的基金标识对应的基金信息,根据资金操作信息对查询到的基金信息进行更新。
举例说明,资金操作信息为从基金标识对应的基金中划拨部分资金,在基金信息的剩余资金额度中减去划拨出的资金额度,得到更新后的剩余资金额度,存储更新后的剩余资金额度得到更新后的基金信息。
本实施例中,由投标交易员触发中标确认流程,在接收到以投标交易员账号登录的中标确认信息后,获取以投资经理账号登录的第一终端根据中标确认信息返回的基金出资信息,将基金出资信息发送至以风控审批员账号登录的第二终端进行风控审批,将通过风控审批的基金出资信息发送至以基金会计账号登录的第四终端进行资金操作,从而完整基金出资的过程,信息的传输无需人工传输,提高了信息传输的效率,并提高了中标之后,资金的操作效率。
如图5所示,在其中一个实施例中,S412具体包括加盖电子印章的步骤,该步骤具体包括以下内容:
S502,将基金出资信息发送至第二终端。
具体地,服务器140从以投资经理账号登录的第一终端110获取输入的基金出资信息,将获取到的基金出资信息发用至以风控审批员账号登录的第二终端120。
S504,接收第二终端根据基金出资信息返回的审批确认信息。
具体地,风控审批员通过第二终端120对基金出资信息进行审批,若审批通过,风控审批员在第二终端120中输入审批通过信息。服务器140接收第二终端120返回的审批通过信息,将审批通过信息与基金出资信息对应存储。
S506,根据审批确认信息和基金出资信息生成基金出资合同。
具体地,服务器140提取基金出资合同模块并生成合同编号,将合同编号、审批确认信息和金出资信息填写到基金出资合同模块,以生成基金出资合同。
S508,将基金出资合同发送至以印章管理员账号登录的第五终端。
具体地,服务器140在生成基金出资合同后,根据合同编号生成印章申请请求,将基金出资合同和印章申请请求发送至以印章管理员账号登录的第五终端。
S510,接收第五终端返回的加盖电子印章的基金出资合同以完成风控审批。
具体地,第五终端提取印章申请请求中的合同编号,将提取到的合同编号和基金出资合同中的合同编号进行对比,若一致,则生成印章可使用通知。印章管理员账号通过第五终端查看到印章可使用通知后,通过第五终端将电子印章加盖到基金出资合同中。服务器140接收第五终端返回的加盖电子印章的基金出资合同,完整基金出资的风控审批。
本实施例中,在基金出资的风控审批过程中,减少了人工对基金出资信息的处理,加 大了电子化处理的程度,使得在基金出资的风控审批过程中,提高了基金出资信息的处理效率。
应该理解的是,虽然图3-5的流程图中的各个步骤按照箭头的指示依次显示,但是这些步骤并不是必然按照箭头指示的顺序依次执行。除非本文中有明确的说明,这些步骤的执行并没有严格的顺序限制,这些步骤可以以其它的顺序执行。而且,图3-5中的至少一部分步骤可以包括多个子步骤或者多个阶段,这些子步骤或者阶段并不必然是在同一时刻执行完成,而是可以在不同的时刻执行,这些子步骤或者阶段的执行顺序也不必然是依次进行,而是可以与其它步骤或者其它步骤的子步骤或者阶段的至少一部分轮流或者交替地执行。
如图6所示,在其中一个实施例中,提供一种投标业务单据处理装置600,该装置具体包括:单据获取模块602、风控审批模块604、指令接收模块606、单据查询模块608和单据合并模块610。
单据获取模块602,用于获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据。
风控审批模块604,用于对各基金投标单据进行风控判定;将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批。
指令接收模块606,用于接收以投标交易员登录的第三终端发送的单据合并指令。
单据查询模块608,用于提取单据合并指令中的投标项目标识;在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据。
单据合并模块610,用于将查询到的基金投标单据进行合并生成投标文件。
本实施例中,不同的投资经理通过各自登录的第一终端上上报基金投标单据,对各基金投标单据进行风控判定,将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端,使风控审批员通过第二终端对基金投标单据进行风控审批。接收投标交易员通过第三终端发送的携带有投标项目标识的单据合并指令,根据与投标项目标识对应的且通过风控审批的基金投标单据进行合并生成投标文件。整个投标文件的生成过程,无需人工了解每个基金投资单据的内容,节省了人工了解基金投资单据内容所耗费的时间,直接 根据投资交易员通过第三终端发送的单据合并指令进行合并,从而生成投标文件,提高了投标文件的生成效率。
如图7所示,在其中一个实施例中,投标业务单据处理装置600具体还包括:信息接收模块612、标识提取模块614、账号查询模块616、信息发送模块618、出资信息接收模块620、出资信息审批模块622、出资信息发送模块624、操作信息接收模块626和基金信息调整模块628。
信息接收模块612,用于接收第三终端返回的中标确认信息。
标识提取模块614,用于提取中标确认信息中的投标项目标识。
账号查询模块616,用于查询投标项目标识对应的投资经理账号。
信息发送模块618,用于将中标确认信息发送至以查询到的投资经理账号登录的第一终端。
出资信息接收模块620,用于接收第一终端根据中标确认信息上报的基金出资信息。
出资信息审批模块622,用于将基金出资信息发送至第二终端进行风控审批。
出资信息发送模块624,用于将通过风控审批的基金出资信息发送至以基金会计账号登录的第四终端。
操作信息接收模块626,用于接收第四终端根据通过风控审批的基金出资信息进行资金操作后返回的资金操作信息;
基金信息调整模块628,用于根据资金操作信息调整基金信息。
在其中一个实施例中,风控审批模块604具体还用于将基金出资信息发送至第二终端;接收第二终端根据基金出资信息返回的审批确认信息;根据审批确认信息和基金出资信息生成基金出资合同;将基金出资合同发送至以印章管理员账号登录的第五终端;接收第五终端返回的加盖电子印章的基金出资合同以完成风控审批。
在其中一个实施例中,单据合并模块610还用于获取投标文件中的投资项目标识;查询获取到的投资项目标识对应的券商账号;将投标文件发用至以查询到的券商账号登录的第六终端。
本实施例中,由投标交易员触发中标确认流程,在接收到以投标交易员账号登录的中标确认信息后,获取以投资经理账号登录的第一终端根据中标确认信息返回的基金出资信 息,将基金出资信息发送至以风控审批员账号登录的第二终端进行风控审批,将通过风控审批的基金出资信息发送至以基金会计账号登录的第四终端进行资金操作,从而完整基金出资的过程,信息的传输无需人工传输,提高了信息传输的效率,并提高了中标之后,资金的操作效率。
关于投标业务单据处理装置的具体限定可以参见上文中对于投标业务单据处理方法的限定,在此不再赘述。上述投标业务单据处理装置中的各个模块可全部或部分通过软件、硬件及其组合来实现。上述各模块可以硬件形式内嵌于或独立于计算机设备中的处理器中,也可以以软件形式存储于计算机设备中的存储器中,以便于处理器调用执行以上各个模块对应的操作。
一种计算机设备,包括存储器和一个或多个处理器,存储器中储存有计算机可读指令,计算机可读指令被一个或多个处理器执行时,使得一个或多个处理器实现本申请任意一个实施例中提供的投标业务单据处理方法的步骤。
一个或多个存储有计算机可读指令的非易失性计算机可读存储介质,计算机可读指令被一个或多个处理器执行时,使得一个或多个处理器实现本申请任意一个实施例中提供的投标业务单据处理方法的步骤。
本领域普通技术人员可以理解实现上述实施例方法中的全部或部分流程,是可以通过计算机可读指令来指令相关的硬件来完成,所述的计算机可读指令可存储于一非易失性计算机可读取存储介质中,该计算机可读指令在执行时,可包括如上述各方法的实施例的流程。其中,本申请所提供的各实施例中所使用的对存储器、存储、数据库或其它介质的任何引用,均可包括非易失性和/或易失性存储器。非易失性存储器可包括只读存储器(ROM)、可编程ROM(PROM)、电可编程ROM(EPROM)、电可擦除可编程ROM(EEPROM)或闪存。易失性存储器可包括随机存取存储器(RAM)或者外部高速缓冲存储器。作为说明而非局限,RAM以多种形式可得,诸如静态RAM(SRAM)、动态RAM(DRAM)、同步DRAM(SDRAM)、双数据率SDRAM(DDRSDRAM)、增强型SDRAM(ESDRAM)、同步链路(Synchlink)DRAM(SLDRAM)、存储器总线(Rambus)直接RAM(RDRAM)、直接存储器总线动态RAM(DRDRAM)、以及存储器总线动态RAM (RDRAM)等。
以上所述实施例的各技术特征可以进行任意的组合,为使描述简洁,未对上述实施例中的各个技术特征所有可能的组合都进行描述,然而,只要这些技术特征的组合不存在矛盾,都应当认为是本说明书记载的范围。
以上所述实施例仅表达了本申请的几种实施方式,其描述较为具体和详细,但并不能因此而理解为对发明专利范围的限制。应当指出的是,对于本领域的普通技术人员来说,在不脱离本申请构思的前提下,还可以做出若干变形和改进,这些都属于本申请的保护范围。因此,本申请专利的保护范围应以所附权利要求为准。
Claims (20)
- 一种投标业务单据处理方法,包括:获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据;对各基金投标单据进行风控判定;将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批;接收以投标交易员登录的第三终端发送的单据合并指令;提取所述单据合并指令中的投标项目标识;在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据;及将查询到的基金投标单据进行合并生成投标文件。
- 根据权利要求1所述的方法,其特征在于,所述将查询到的基金投标单据进行合并生成投标文件之后,所述方法还包括:接收所述第三终端返回的中标确认信息;提取所述中标确认信息中的投标项目标识;查询所述投标项目标识对应的投资经理账号;及将所述中标确认信息发送至以查询到的投资经理账号登录的第一终端。
- 根据权利要求2所述的方法,其特征在于,所述将所述中标确认信息发送至以查询到的投资经理账号登录的第一终端之后,所述方法还包括:接收所述第一终端根据所述中标确认信息上报的基金出资信息;将所述基金出资信息发送至所述第二终端进行风控审批;将通过风控审批的基金出资信息发送至以基金会计账号登录的第四终端;接收所述第四终端根据所述通过风控审批的基金出资信息进行资金操作后返回的资金操作信息;及根据所述资金操作信息调整基金信息。
- 根据权利要求3所述的方法,其特征在于,所述将所述基金出资信息发送至所述第二终端进行风控审批,包括:将所述基金出资信息发送至所述第二终端;接收所述第二终端根据所述基金出资信息返回的审批确认信息;根据所述审批确认信息和所述基金出资信息生成基金出资合同;将所述基金出资合同发送至以印章管理员账号登录的第五终端;及接收所述第五终端返回的加盖电子印章的基金出资合同以完成风控审批。
- 根据权利要求1所述的方法,其特征在于,所述将查询到的基金投标单据进行合并生成投标文件之后,所述方法还包括:获取所述投标文件中的投资项目标识;查询获取到的投资项目标识对应的券商账号;及将所述投标文件发用至以查询到的券商账号登录的第六终端。
- 一种投标业务单据处理装置,包括:单据获取模块,用于获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据;风控审批模块,用于对各基金投标单据进行风控判定;将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批;指令接收模块,用于接收以投标交易员登录的第三终端发送的单据合并指令;单据查询模块,用于提取所述单据合并指令中的投标项目标识;在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据;及单据合并模块,用于将查询到的基金投标单据进行合并生成投标文件。
- 根据权利要求6所述的装置,其特征在于,还包括:信息接收模块,用于接收所述第三终端返回的中标确认信息;标识提取模块,用于提取所述中标确认信息中的投标项目标识;账号查询模块,用于查询所述投标项目标识对应的投资经理账号;及信息发送模块,用于将所述中标确认信息发送至以查询到的投资经理账号登录的第一终端。
- 根据权利要求7所述的装置,其特征在于,还包括:出资信息接收模块,用于接收所述第一终端根据所述中标确认信息上报的基金出资信 息;出资信息审批模块,用于将所述基金出资信息发送至所述第二终端进行风控审批;出资信息发送模块,用于将通过风控审批的基金出资信息发送至以基金会计账号登录的第四终端;操作信息接收模块,用于接收所述第四终端根据所述通过风控审批的基金出资信息进行资金操作后返回的资金操作信息;及基金信息调整模块,用于根据所述资金操作信息调整基金信息。
- 根据权利要求8所述的装置,其特征在于,所述风控审批模块还用于将所述基金出资信息发送至所述第二终端;接收所述第二终端根据所述基金出资信息返回的审批确认信息;根据所述审批确认信息和所述基金出资信息生成基金出资合同;将所述基金出资合同发送至以印章管理员账号登录的第五终端;及接收所述第五终端返回的加盖电子印章的基金出资合同以完成风控审批。
- 根据权利要求6所述的装置,其特征在于,所述单据合并模块还用于获取所述投标文件中的投资项目标识;查询获取到的投资项目标识对应的券商账号;及将所述投标文件发用至以查询到的券商账号登录的第六终端。
- 一种计算机设备,包括存储器和一个或多个处理器,所述存储器中储存有计算机可读指令,所述计算机可读指令被所述一个或多个处理器执行时,使得所述一个或多个处理器执行以下步骤:获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据;对各基金投标单据进行风控判定;将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批;接收以投标交易员登录的第三终端发送的单据合并指令;提取所述单据合并指令中的投标项目标识;在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单 据;及将查询到的基金投标单据进行合并生成投标文件。
- 根据权利要求11所述的计算机设备,其特征在于,所述计算机可读指令被所述处理器执行时,使得所述处理器在执行所述将查询到的基金投标单据进行合并生成投标文件之后,还执行以下步骤:接收所述第三终端返回的中标确认信息;提取所述中标确认信息中的投标项目标识;查询所述投标项目标识对应的投资经理账号;及将所述中标确认信息发送至以查询到的投资经理账号登录的第一终端。
- 根据权利要求12所述的计算机设备,其特征在于,所述计算机可读指令被所述处理器执行时,使得所述处理器在执行所述将所述中标确认信息发送至以查询到的投资经理账号登录的第一终端之后,还执行以下步骤:接收所述第一终端根据所述中标确认信息上报的基金出资信息;将所述基金出资信息发送至所述第二终端进行风控审批;将通过风控审批的基金出资信息发送至以基金会计账号登录的第四终端;接收所述第四终端根据所述通过风控审批的基金出资信息进行资金操作后返回的资金操作信息;及根据所述资金操作信息调整基金信息。
- 根据权利要求13所述的计算机设备,其特征在于,所述将所述基金出资信息发送至所述第二终端进行风控审批,包括:将所述基金出资信息发送至所述第二终端;接收所述第二终端根据所述基金出资信息返回的审批确认信息;根据所述审批确认信息和所述基金出资信息生成基金出资合同;将所述基金出资合同发送至以印章管理员账号登录的第五终端;及接收所述第五终端返回的加盖电子印章的基金出资合同以完成风控审批。
- 根据权利要求11所述的计算机设备,其特征在于,所述计算机可读指令被所述处理器执行时,使得所述处理器在执行所述将查询到的基金投标单据进行合并生成投标文 件之后,还执行以下步骤:获取所述投标文件中的投资项目标识;查询获取到的投资项目标识对应的券商账号;及将所述投标文件发用至以查询到的券商账号登录的第六终端。
- 一个或多个存储有计算机可读指令的非易失性计算机可读存储介质,所述计算机可读指令被一个或多个处理器执行时,使得所述一个或多个处理器执行以下步骤:获取分别以不同的投资经理账号登录的至少一个第一终端上报的基金投标单据;对各基金投标单据进行风控判定;将通过风控判定的基金投标单据发送至以风控审批员账号登录的第二终端进行风控审批;接收以投标交易员登录的第三终端发送的单据合并指令;提取所述单据合并指令中的投标项目标识;在通过风控审批的基金投标单据中查询与提取到的投标项目标识对应的基金投标单据;及将查询到的基金投标单据进行合并生成投标文件。
- 根据权利要求16所述的存储介质,其特征在于,所述计算机可读指令被所述处理器执行时,使得所述处理器在执行所述将查询到的基金投标单据进行合并生成投标文件之后,还执行以下步骤:接收所述第三终端返回的中标确认信息;提取所述中标确认信息中的投标项目标识;查询所述投标项目标识对应的投资经理账号;及将所述中标确认信息发送至以查询到的投资经理账号登录的第一终端。
- 根据权利要求17所述的存储介质,其特征在于,所述计算机可读指令被所述处理器执行时,使得所述处理器在执行所述将所述中标确认信息发送至以查询到的投资经理账号登录的第一终端之后,还执行以下步骤:接收所述第一终端根据所述中标确认信息上报的基金出资信息;将所述基金出资信息发送至所述第二终端进行风控审批;将通过风控审批的基金出资信息发送至以基金会计账号登录的第四终端;接收所述第四终端根据所述通过风控审批的基金出资信息进行资金操作后返回的资金操作信息;及根据所述资金操作信息调整基金信息。
- 根据权利要求18所述的存储介质,其特征在于,所述将所述基金出资信息发送至所述第二终端进行风控审批,包括:将所述基金出资信息发送至所述第二终端;接收所述第二终端根据所述基金出资信息返回的审批确认信息;根据所述审批确认信息和所述基金出资信息生成基金出资合同;将所述基金出资合同发送至以印章管理员账号登录的第五终端;及接收所述第五终端返回的加盖电子印章的基金出资合同以完成风控审批。
- 根据权利要求16所述的存储介质,其特征在于,所述计算机可读指令被所述处理器执行时,使得所述处理器在执行所述将查询到的基金投标单据进行合并生成投标文件之后,还执行以下步骤:获取所述投标文件中的投资项目标识;查询获取到的投资项目标识对应的券商账号;及将所述投标文件发用至以查询到的券商账号登录的第六终端。
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