摘要
银企互联业务流程复杂,涉及的系统多,网络拓扑结构复杂,在整个交互过程中难免有堵塞、丢包等异常情况发生。为该类业务设计一套合理完善的对账调账机制,是保证业务可持续发展,保证资金安全,减少错帐的必要手段。通过正确的对账策略发现各系统的状态不一致的交易,再通过对应的调账策略,最后把各系统的账务调整成一致。
The bank enterprise interlink business process is complex, involving the system, network topology structure is complex, there is blockage, loss and other anomalies in the interactive process. For a set of reasonable and perfect checking account regulating mechanism design of this kind of business, is to ensure the sustainable development of the business, ensure the safety of funds, a necessary means to reduce errors. The system is in an inconsistent state trading through proper reconciliation strategy, and through the corresponding accounting adjustment strategy, finally, the system of accounting adjustment.
出处
《电脑知识与技术》
2014年第3X期2166-2168,共3页
Computer Knowledge and Technology
关键词
对账
对账不一致
调账
单边帐
reconciliation
reconciliation is not consistent
reconciliations
one-sided account