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FINS BIB Deposit Account Update Workflow


FINS BIB Deposit Account Update Workflow, shown in Figure 14, invokes the FINCORP BIB Deposit Account Update FAF Workflow to update the Deposit Account details sent by Oracle FLEXCUBE Universal Banking.

Figure 14. FINS BIB Deposit Account Update Workflow

Workflow Description. This workflow does the following:

  1. XSLT Transformation. This step transforms the UpdateDepositAccountEBM message structure to FINCORP Account IO using the EAI XSLT service.
  2. XMLDoc To IIO. This step converts the SiebelMessage into XML Hierarchy using the IntObjHierToXMLHier method of the EAI XML Convertor service.
  3. Siebel EAI Adapter (Upsert). Using the Upsert method of from the EAI Siebel Adapter, this step upserts the Deposit Account details into the Siebel Finance database.
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