Clients :Vijaya Bank, Bangalore
Environment :CentOS 6, Jboss, Java 1.7
Database:Oracle 11g
IDE :SQL Developer, Toad
Duration:Jul 2013 to Till date
Role :Technical Engineer
This system is developed for reconciling the transaction held at various ATM centers, POS. This reconciliation also includes other banks, which are having tie up with corporation bank. The reconciliation is the process of tallying transactions of switch with corporation bank branches and with other networks. All issuer and acquirer transactions are routed through switch and saved in database for Reconciliation, Settlement, Accounting and MIS purposes. The modules are Inter Branch Module, Visa Module, MasterCard Module, Euronet Module, ATM Cash Module, EOD Process and Reporting Module. Giving the total withdrawal and outstanding transactions and outstanding credit advise from branch to bankers. This is of daily reports like vouchers, transaction ratios, weekly reports and monthly reconciliation statements of ATM’s, Branches and other Network statements.