Creating a Parser for a Custom Bank Statement Format
(Doc ID 1590025.1)
Last updated on FEBRUARY 20, 2020
Applies to:Oracle Fusion Cash Management - Version 184.108.40.206.1 and later
Information in this document applies to any platform.
Fusion Cash Management currently supplies 4 seeded formats for reconciling bank statements. These can be found on <Note:1372887.1> What Seeded Formats Are Available For Bank Statements.
If you need to create your own customized format ,under the functional setup manager Payment's Manage Formats task, you will also need to create your own parser (a java class) to parse your files.
What documentation is available for creating a parser ?
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