Daily Integration between CSI & APT2.0
A. Data Flow from CSI to APT2.0:
- Article booking details (Insured, Contractual COD, and Retail-COD)
- Closed and dispatched bagging data to APT2.0 Mail/Post Offices
- Money Order bookings and Returned/Redirected data to APT2.0 Offices
- COD delivery records from CSI and payment office data in APT2.0
- E-payment collections recorded in CSI and payment office data in APT2.0
B. Data Flow from APT2.0 to CSI:
- Article booking details (Insured, Contractual COD, and Retail-COD)
- Closed and dispatched bagging data to CSI Mail/Post Offices
- Money Order bookings and Returned/Redirected data to CSI Offices
- COD delivery records from APT2.0 and payment office data in CSI
- E-payment collections recorded in APT2.0 and payment office data in CSI
Synchronization Frequency: Data exchange occurs every 30 minutes in both systems.
Non-Integrated Transactions:
- Cash transfer operations
- Stock transfers, indenting, and material management
- Biller and customer account creations
- IPO sales in one system and IPO payments in the other
- Accounting entries, budget allocations, and fund management
- NAF customer balance management and recharge operations
Updates:
Follow us on WhatsApp, Telegram Channel, Twitter and Facebook for all latest updates

Post a Comment