Noms files d'attente

Ce tableau montre le nom des files d'attente, les descriptions, les classes et les opérations correspondantes.

Tableau 1. Prévision CTM
Classe Action
BankStatementLine GetForecastTransactions
CashForecast BuildForecastNew
CashForecastCategory
  • CalculateForecastAmountByCategory
  • CalculateForecastAmountForAllCategories
CashForecastPeriod CalculateForecastAverages
CashForecastPeriodAmount UpdateAmount
Tableau 2. Rapprochement CTM
Classe Action
BankStatement
  • ClearAllReconciliations
  • InvokedLoadAndReconcileUnreconciled
  • MassLoadAndReconcile
BankStatementLine LoadLinesIntoReconciliation
BankStatementReconciliation
  • DeleteOpenTransactionLines
  • DeleteStatementReconciliationDetails
  • ReconcileStatementLines
  • UnmatchMatchedSummaryTransactions
  • UpdateInterfacedCBTransactions
CashForecastDetail LoadDetailsIntoReconciliation
CashLedgerTransaction LoadCBTransIntoReconciliation
CashManagementAccount
  • InvokedLoadAndReconcile
  • MassLoadAndReconcile
  • MassLoadAndReconcileSet
  • ReconcileStatementLines
NonCashLedgerTransaction LoadTransactionsIntoReconciliation
Tableau 3. Importation relevés CTM
Classe Action
BankStatementInterface ImportBatch
BankStatementInterfaceHeader
  • ImportAll
  • ImportValidation
BankStatementLine
  • CreateForecastActuals
  • ExecuteTransactionProcessingRules
  • ReclassifyUncategorizedLines