Integration between CSI & APT2.0

Daily Integration between CSI & APT2.0



A. Data Flow from CSI to APT2.0:

  1. Article booking details (Insured, Contractual COD, and Retail-COD)
  2. Closed and dispatched bagging data to APT2.0 Mail/Post Offices
  3. Money Order bookings and Returned/Redirected data to APT2.0 Offices
  4. COD delivery records from CSI and payment office data in APT2.0
  5. E-payment collections recorded in CSI and payment office data in APT2.0

B. Data Flow from APT2.0 to CSI:

  1. Article booking details (Insured, Contractual COD, and Retail-COD)
  2. Closed and dispatched bagging data to CSI Mail/Post Offices
  3. Money Order bookings and Returned/Redirected data to CSI Offices
  4. COD delivery records from APT2.0 and payment office data in CSI
  5. 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:

  1. Cash transfer operations
  2. Stock transfers, indenting, and material management
  3. Biller and customer account creations
  4. IPO sales in one system and IPO payments in the other
  5. Accounting entries, budget allocations, and fund management
  6. NAF customer balance management and recharge operations

Updates:

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