CN109584031A - Account checking method, device, electronic equipment and computer-readable medium - Google Patents

Account checking method, device, electronic equipment and computer-readable medium Download PDF

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Publication number
CN109584031A
CN109584031A CN201811409168.2A CN201811409168A CN109584031A CN 109584031 A CN109584031 A CN 109584031A CN 201811409168 A CN201811409168 A CN 201811409168A CN 109584031 A CN109584031 A CN 109584031A
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data
matching
transaction journal
notification data
money
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焦晓玉
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Taikang Insurance Group Co Ltd
Taikang Pension Insurance Co Ltd
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Taikang Insurance Group Co Ltd
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    • GPHYSICS
    • G06COMPUTING; CALCULATING OR COUNTING
    • G06QINFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
    • G06Q40/00Finance; Insurance; Tax strategies; Processing of corporate or income taxes
    • G06Q40/12Accounting
    • GPHYSICS
    • G06COMPUTING; CALCULATING OR COUNTING
    • G06QINFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
    • G06Q40/00Finance; Insurance; Tax strategies; Processing of corporate or income taxes
    • G06Q40/06Asset management; Financial planning or analysis
    • GPHYSICS
    • G06COMPUTING; CALCULATING OR COUNTING
    • G06QINFORMATION AND COMMUNICATION TECHNOLOGY [ICT] SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES; SYSTEMS OR METHODS SPECIALLY ADAPTED FOR ADMINISTRATIVE, COMMERCIAL, FINANCIAL, MANAGERIAL OR SUPERVISORY PURPOSES, NOT OTHERWISE PROVIDED FOR
    • G06Q40/00Finance; Insurance; Tax strategies; Processing of corporate or income taxes
    • G06Q40/08Insurance

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Abstract

This disclosure relates to a kind of account checking method based on enterprise annuity account, device, electronic equipment and computer-readable medium.This method comprises: obtaining notification data;Obtain multiple transaction journal data;Matching rule data are determined according to the notification data;The notification data and the multiple transaction journal data are subjected to matching verification based on the matching rule data;It is matching status by the tag update of notification data transaction journal data corresponding with notification data and when matching verifies successfully.This disclosure relates to the account checking method based on enterprise annuity account, device, electronic equipment and computer-readable medium, can fast and accurately realize the automatic reconciliation of circular document and transaction journal of collecting money/remit money in supplementary pension operation system.

Description

Account checking method, device, electronic equipment and computer-readable medium
Technical field
This disclosure relates to computer information processing field, in particular to a kind of reconciliation based on enterprise annuity account Method, apparatus, electronic equipment and computer-readable medium.
Background technique
Supplementary pension refers to enterprise and its worker on the basis of participating in basic pension insurance in accordance with the law, the supplement voluntarily established Old-age insurance system.By way of establishing personal account, insurance premium, worker are periodically paid by enterprise and worker by a certain percentage Supplementary pension level when retired depends on accumulation of funds scale and its investment return.
Supplementary pension is during operation, the co-ordination being related between multiple and different enterprise and mechanism, enterprise Industry annuity service operation can be related to following cubic management organization: trustee, account pipe row, throws pipe row at trustship row.This cubic supervisor Structure in the process of running, needs the various data of lasting interaction, generates payment application, premium notice, advice of collection, transaction journal Equal multiple business flow file.
During supplementary pension operation, various notices are required to carry out reconciliation one by one with transaction journal, to ensure fund It is accurate with income.During the operation of supplementary pension, interactive notification data is various, and transaction journal is various informative, It is operated as long as being related to trustship row and remitting money to collect money, is required to reconciliation.And notification data and transaction journal data are personnel at present The state of manual reconciliation causes staff's reconciliation magnitude of the operation larger, and efficiency is lower, in the business that the service node is detained It measures larger.
Therefore, it is necessary to a kind of new account checking method based on enterprise annuity account, device, electronic equipments and computer-readable Medium.
Above- mentioned information are only used for reinforcing the understanding to the background of the disclosure, therefore it disclosed in the background technology part It may include the information not constituted to the prior art known to persons of ordinary skill in the art.
Summary of the invention
In view of this, the disclosure provides a kind of account checking method based on enterprise annuity account, device, electronic equipment and calculating Machine readable medium can fast and accurately realize collect money/remit money circular document and transaction journal in supplementary pension operation system Automatic reconciliation.
Other characteristics and advantages of the disclosure will be apparent from by the following detailed description, or partially by the disclosure Practice and acquistion.
According to the one side of the disclosure, a kind of account checking method based on enterprise annuity account is proposed, this method comprises: obtaining Notification data;Obtain multiple transaction journal data;Matching rule data are determined according to the notification data;It is advised based on the matching Then the notification data and the multiple transaction journal data are carried out matching verification by data;And when matching verifies successfully, It is matching status by the tag update of notification data transaction journal data corresponding with notification data.
In a kind of exemplary embodiment of the disclosure, further includes: obtain be sent to second user by the first user in real time Notice operation data, the notice operation data include payment advice of collection, payment remit money notice, pay tax that it is logical to remit money Know, leave office and produce notice of remitting money, invest notice of remitting money;The notice operation data is stored in the first container, described in generation Notification data.
In a kind of exemplary embodiment of the disclosure, obtaining notification data includes: by obtaining institute in the first container State notification data.
In a kind of exemplary embodiment of the disclosure, further includes: obtain be sent to the first user by second user in real time Transactional operation data, the transactional operation data include payment gathering network bank business flowing water, payment remit money network bank business flowing water, Network bank business that network bank business of paying tax flowing water, leaving office produce network bank business flowing water of remitting money, investment is remitted money;By the transactional operation Data storage generates the transaction journal data in second container.
In a kind of exemplary embodiment of the disclosure, obtaining multiple transaction journal data includes: by the second container It is middle to obtain the multiple transaction journal data.
In a kind of exemplary embodiment of the disclosure, determine that matching rule data include: root according to the notification data According to the notification data by determining matching rule data in third container.
In a kind of exemplary embodiment of the disclosure, the label of the notification data and the transaction journal data is initial State is non-matching status.
In a kind of exemplary embodiment of the disclosure, based on the matching rule data by the notification data with it is described It includes: that successively to extract in the multiple transaction journal data tag state be not that multiple transaction journal data, which carry out matching verification, The transaction journal data matched;And the notification data and the transaction journal data are carried out based on the matching rule data Matching verification.
In a kind of exemplary embodiment of the disclosure, based on the matching rule data by the notification data with it is described It includes: successively corresponding with the business scenario multiple based on the determination of multiple business scenarios that transaction journal data, which carry out matching verification, Matching rule data;And each of multiple matching rule data matching rule data are based respectively on by the notification data Matching verification is carried out with the transaction journal data.
According to the one side of the disclosure, propose that a kind of account checking apparatus based on enterprise annuity account, the device include: notice Data module, for obtaining notification data;Pipelined data module, for obtaining multiple transaction journal data;Regular data module, For determining matching rule data according to the notification data;Correction verification module, will be described for being based on the matching rule data Notification data and the multiple transaction journal data carry out matching verification;Label model is used for when matching verifies successfully, by institute The tag update of notification data transaction journal data corresponding with notification data is stated as matching status.
According to the one side of the disclosure, a kind of electronic equipment is proposed, which includes: one or more processors; Storage device, for storing one or more programs;When one or more programs are executed by one or more processors, so that one A or multiple processors realize such as methodology above.
According to the one side of the disclosure, it proposes a kind of computer-readable medium, is stored thereon with computer program, the program Method as mentioned in the above is realized when being executed by processor.
According to the account checking method based on enterprise annuity account, device, electronic equipment and the computer-readable medium of the disclosure, The notification data match with the multiple transaction journal data the mode of verification, energy based on the matching rule data Enough in supplementary pension operation system, the automatic reconciliation of collect money/remit money circular document and transaction journal is fast and accurately realized.
It should be understood that the above general description and the following detailed description are merely exemplary, this can not be limited It is open.
Detailed description of the invention
Its example embodiment is described in detail by referring to accompanying drawing, above and other target, feature and the advantage of the disclosure will It becomes more fully apparent.Drawings discussed below is only some embodiments of the present disclosure, for the ordinary skill of this field For personnel, without creative efforts, it is also possible to obtain other drawings based on these drawings.
Fig. 1 is the operation schematic diagram of enterprise annuity account.
Fig. 2 is that a kind of account checking method and device based on enterprise annuity account shown according to an exemplary embodiment is System block diagram.
Fig. 3 is a kind of answering for account checking method and device based on enterprise annuity account shown according to an exemplary embodiment With scene figure.
Fig. 4 is a kind of process of the account checking method based on enterprise annuity account shown according to another exemplary embodiment Figure.
Fig. 5 is a kind of signal of the account checking method based on enterprise annuity account shown according to another exemplary embodiment Figure.
Fig. 6 is a kind of block diagram of account checking apparatus based on enterprise annuity account shown according to an exemplary embodiment.
Fig. 7 is a kind of block diagram of the account checking apparatus based on enterprise annuity account shown according to another exemplary embodiment.
Fig. 8 is the block diagram of a kind of electronic equipment shown according to an exemplary embodiment.
Fig. 9 is that a kind of computer readable storage medium schematic diagram is shown according to an exemplary embodiment.
Specific embodiment
Example embodiment is described more fully with reference to the drawings.However, example embodiment can be real in a variety of forms It applies, and is not understood as limited to embodiment set forth herein;On the contrary, thesing embodiments are provided so that the disclosure will be comprehensively and complete It is whole, and the design of example embodiment is comprehensively communicated to those skilled in the art.Identical appended drawing reference indicates in figure Same or similar part, thus repetition thereof will be omitted.
In addition, described feature, structure or characteristic can be incorporated in one or more implementations in any suitable manner In example.In the following description, many details are provided to provide and fully understand to embodiment of the disclosure.However, It will be appreciated by persons skilled in the art that can with technical solution of the disclosure without one or more in specific detail, Or it can be using other methods, constituent element, device, step etc..In other cases, it is not shown in detail or describes known side Method, device, realization or operation are to avoid fuzzy all aspects of this disclosure.
Block diagram shown in the drawings is only functional entity, not necessarily must be corresponding with physically separate entity. I.e., it is possible to realize these functional entitys using software form, or realized in one or more hardware modules or integrated circuit These functional entitys, or these functional entitys are realized in heterogeneous networks and/or processor device and/or microcontroller device.
Flow chart shown in the drawings is merely illustrative, it is not necessary to including all content and operation/step, It is not required to execute by described sequence.For example, some operation/steps can also decompose, and some operation/steps can close And or part merge, therefore the sequence actually executed is possible to change according to the actual situation.
It should be understood that although herein various assemblies may be described using term first, second, third, etc., these groups Part should not be limited by these terms.These terms are to distinguish a component and another component.Therefore, first group be discussed herein below Part can be described as the second component without departing from the teaching of disclosure concept.As used herein, term " and/or " include associated All combinations for listing any of project and one or more.
It will be understood by those skilled in the art that attached drawing is the schematic diagram of example embodiment, module or process in attached drawing Necessary to not necessarily implementing the disclosure, therefore it cannot be used for the protection scope of the limitation disclosure.
Supplementary pension service operation is related to following cubic management organization: trustee, account pipe row, throws pipe row at trustship row.
Wherein, enterprise: trustee
Trustee: receive enterprise's commission, manage the legal person of internal business audit by support mechanism;
Trustship row: receive trustee's commission, the banking institution of keeping internal business audit property;
Account pipe row: receive trustee's commission, manage internal business audit account, the professional institution to keep accounts;
It throws pipe row: receiving trustee's commission, supplementary pension is subjected to investment operation, realizes the appreciation of fixed assets;
Fig. 1 is the operation schematic diagram of enterprise annuity account.By taking enterprise pays annuity for worker as an example, as shown in Figure 1, enterprise The operation flow for paying annuity for employee is as follows:
1, enterprise's application is that employee pays annuity expense, and application form is sent to trustee;
2, trustee records information, and application form is sent to account pipe people;
3, after the book keeping operation of account pipe, notice toll file card is sent to trustee;
4, trustee will notify toll file to be sent to enterprise, while sending advice of collection file and giving trustship row, remind support Pipe row is collected money;
5, enterprise is by payment of fees trustship row;
6, the enterprise bank that trustship is about to receive pays in Internetbank pipeline sending to trustee;
7, trustee is by transaction journal import system, by advice of collection file and transaction journal reconciliation;
8, other follow-up business.
Wherein " trustee by transaction journal import system, by advice of collection file and transaction journal reconciliation " this link, It is currently to be operated by the way of artificial nucleus couple, verification trustee is sent to the advice of collection and trustship row reality of trustship row Whether the bank transaction flowing water that border receives unanimously matches.The above is only a kind of business scenarios of illustrating, practical to be related in operation To several scenes, is operated as long as being related to trustship row and remitting money to collect money, be required to reconciliation, lead to staff's reconciliation magnitude of the operation Larger, efficiency is lower, larger in the portfolio that the service node is detained.
The disclosure provides a kind of account checking method based on enterprise annuity account, can be realized/advice of collection file of remitting money With the automatic reconciliation function of transaction journal;Mitigate operation personnel's workload;Person works' efficiency is improved, the quick stream of business is promoted Turn, increases customer satisfaction degree.
Here is the detailed description to present disclosure:
Fig. 2 is a kind of account checking method based on enterprise annuity account shown according to an exemplary embodiment, device, electronics The system block diagram of equipment and computer-readable medium.
As shown in Fig. 2, system architecture 200 may include terminal device 201,202,203, network 204 and server 205. Network 204 between terminal device 201,202,203 and server 205 to provide the medium of communication link.Network 204 can be with Including various connection types, such as wired, wireless communication link or fiber optic cables etc..
User can be used terminal device 201,202,203 and be interacted by network 204 with server 205, to receive or send out Send message etc..Various telecommunication customer end applications, such as the application of shopping class, net can be installed on terminal device 201,202,203 The application of page browsing device, searching class application, instant messaging tools, mailbox client, social platform software etc..
Terminal device 201,202,203 can be the various electronic equipments with display screen and supported web page browsing, packet Include but be not limited to smart phone, tablet computer, pocket computer on knee and desktop computer etc..
Server 205 can be to provide the server of various services, such as utilize terminal device 201,202,203 to user The background server that the data submitted are analyzed.Server 205 can analyze transaction journal or notification data Terminal device is fed back to Deng processing, and by processing result (such as target whether successful match).
Without loss of generality, terminal device 201 can represent trustee (can be the first user in the disclosure), and 202 can represent Trustship row (can be the second user in the disclosure), 203 can represent enterprise (can be the third user in the disclosure), server 205 represent reconciliation server.
Server 205 can for example obtain the notice operation data that second user is sent to by the first user in real time;Server 205 can for example obtain the transactional operation data that the first user is sent to by second user in real time;Server 205 can be for example according to institute It states notification data and determines matching rule data;Server 205 can be for example based on the matching rule data by the notification data Matching verification is carried out with the multiple transaction journal data;Server 205 can be for example when matching verifies successfully, by the notice The tag update of data transaction journal data corresponding with notification data is matching status.
Server 205 can be the server of an entity, also may be, for example, that multiple servers form, in server 205 A part can for example as the first reconciliation system in the disclosure, for the data between the first user and second user into Row reconciliation;A part in server 205 can also for example as the second reconciliation system in the disclosure, for second user with Data between third user carry out reconciliation;And a part in server 205 can also be for example as the third in the disclosure Reconciliation system, for carrying out reconciliation to the data between the first user and third user;.
It should be noted that the account checking method based on enterprise annuity account provided by the embodiment of the present disclosure can be by servicing Device 205 executes, and correspondingly, the account checking apparatus based on enterprise annuity account can be set in server 205.And it is supplied to user The request end for carrying out data preparation and transmission is normally in terminal device 201,202,203.
Fig. 3 is a kind of answering for account checking method and device based on enterprise annuity account shown according to an exemplary embodiment With scene figure.
As shown in Figure 3.Data can be transmitted between first user and second user mutually, the first user can be transferred to the second use The data at family may be, for example: payment advice of collection, payment remit money notice, pay tax remit money notice, leaving office produce notice of remitting money, Invest notice etc. of remitting money.The data that second user can be transferred to the first user may be, for example: payment gathering network bank business flowing water, branch Network bank business flowing water of remitting money, network bank business of paying tax flowing water are paid, is left office and is produced network bank business flowing water of remitting money, invests Internetbank of remitting money Transaction journal.
Monitor above-mentioned data in real time, be then based on the matching rule data for above-mentioned data and carry out matching verification, When passing through with verification, the transaction flowing water and circular document are set to " matching " state automatically.
Other than application scenarios as described in Figure 3, the account checking method based on enterprise annuity account of the disclosure is applied Typical business scenario may also include that
1, business scenario one: payment
Enterprise's payment, trustee send advice of collection to trust bank, inform that trust bank's concern receives what enterprise paid Expense, after trust bank's gathering, by gathering network bank business pipeline sending to trustee, trustee trades advice of collection and gathering Flowing water does consistency matching;
2, business scenario two: payment
After enterprise staff retirement, annuity is got in application, and trustee sends notice of remitting money to trust bank, informs that trustship is about to Annuity payment beats money to enterprise staff account, and after money is beaten by trust bank, payment is remitted money network bank business pipeline sending to trustee, Trustee will remit money notice and payment is remitted money, and network bank business flowing water does consistency matching;
3, business scenario three: payment is paid taxes
After enterprise staff retirement, annuity is got in application, needs to pay tax to national revenue department, and trustee sends tax Notice remit money to trust bank, informs that trustship is about to tax and remits money to revenue department, trustship row remits money after tax, tax is remitted money Network bank business pipeline sending is to trustee, and trustee will remit money notice and tax is remitted money, and network bank business flowing water does consistency matching;
4, business scenario four: labor turnover produces account and remits money
When enterprise staff is left office, application is submitted, annuity history is put aside from original business account and is transferred to new firms Account, trustee send account and produce notice of remitting money to trust bank, inform that trust bank puts aside employee's annuity from original undertaking Account goes to new spectra account, and after trustship row is remitted money, leaving office is produced to network bank business pipeline sending of remitting money to trustee, trustee Account is produced and remits money notice and leaving office produces Netease's transaction journal of remitting money and does consistency matching;
5, business scenario five: investment is remitted money
It throws pipe row (management of investment mechanism) and receives trustee's commission, annuity assets are subjected to running investment, obtain investment and receive Benefit realizes the appreciation of fixed assets, and trustee sends to invest to remit money and notifies to give trustship row, informs that annuity pipe row from transferring to throwing is about in trustship Investment after trustship row is remitted money, is remitted money network bank business pipeline sending to trustee, trustee remits money investment for investing by account Notice does consistency matching with investment network bank business flowing water of remitting money.
Fig. 4 is a kind of process of the account checking method based on enterprise annuity account shown according to another exemplary embodiment Figure.Account checking method method 40 based on enterprise annuity account includes at least step S402 to S410.
As shown in figure 4, obtaining notification data in S402.Notification data can for example be remitted money by advice of collection, payment logical Know, pay tax remit money notice, leave office produce notice of remitting money, investment remit money notice generate.
In one embodiment, the notice operation data that second user is sent to by the first user is obtained in real time, it is described logical Know operation data include payment advice of collection, payment remit money notice, pay tax remit money notice, leave office produce notice of remitting money, throwing Provide notice of remitting money;The notice operation data is stored in the first container, the notification data is generated.
In one embodiment, by obtaining the notification data in the first container.Trustee is sent to trustship row All operational notifications deposit in a container, by obtaining the notification data in this first container.
Wherein, remit money circular document, it is different according to type of service, comprising content is also variant can be for example as follows:
1, business scenario one: payment
Payment advice of collection file, mainly includes the following contents: payment name in an account book, Send only Account, payment bank of deposit, gathering family Name, collecting account, gathering bank of deposit, the amount of money.
2, business scenario two: payment
Pay circular document of remitting money, mainly include the following contents: affiliated pension plan title, the total stroke count of payment are (to how many Employee pays), application payment transaction employee detail (employee name, type of credential, passport NO., payment amount, gathering account Family, gathering name in an account book, gathering bank of deposit), payment total amount, payment name in an account book, Send only Account, payment bank of deposit.
3, it business scenario two: paies tax
Pay tax circular document, mainly include the following contents: affiliated pension plan title, name in an account book of being commissioned claim, fiduciary account Title, trustship account number, the amount of money of paying tax, number of paying tax.
4, business scenario four: labor turnover produces account and remits money
Leaving office produces account and remits money, mainly include the following contents: produce pension plan title, produce account, produce name in an account book, Produce the amount of money, be transferred to pension plan, be transferred to account, be transferred to name in an account book, be transferred to the amount of money, be transferred to number, be transferred to employee's detail (name, Type of credential, passport NO.).
5, business scenario five: investment is remitted money
Circular document of remitting money is invested, annuity can be used for investment return, can proportionally invest different investment combinations, Such as security, fund, national debt, monetary fund, wholesale check etc., every one kind investment combination circular document mainly includes in following Hold: Send only Account, payment name in an account book, investment combination title, investment combination ratio, the investment combination distribution amount of money, is received at payment bank of deposit Money name in an account book, collecting account, gathering bank of deposit.
As shown in figure 4, obtaining multiple transaction journal data in S404.Transaction journal data can for example be collected money by payment Network bank business flowing water pays network bank business flowing water of remitting money, network bank business of paying tax flowing water, leaves office and produce network bank business stream of remitting money Water invests network bank business flowing water composition of remitting money.
In one embodiment, the transactional operation data that the first user is sent to by second user, the friendship are obtained in real time Data easy to operate include payment gathering network bank business flowing water, payment remit money network bank business flowing water, network bank business of paying tax flowing water, Leaving office produces network bank business flowing water of remitting money, invests network bank business flowing water of remitting money;The transactional operation data storage is held second In device, the transaction journal data are generated.
In one embodiment, by obtaining the multiple transaction journal data in the second container.Mandator is sent It is deposited in another container to the network bank business flowing water of trustee, by obtaining transaction journal data in this container.
As shown in figure 4, determining matching rule data according to the notification data in S406.According to the notification data By determining matching rule data in third container.
Matching rule under all business scenarios as described above can individually be deposited in a container, comprising paying Expense gathering matching rule pays matching rule of remitting money, matching rule of paying tax, leaves office and produce matching rule of remitting money, invest and draw The matching rule of money matching rule, etc. other types of service;
As shown in figure 4, being based on the matching rule data for the notification data and the multiple transaction flow in S408 Water number is according to carrying out matching verification.Matching rule data can be for example by user according to different reconciliation rule settings.
In one embodiment, the matching rule data are based on by the notification data and the multiple transaction flow water number It include: successively to extract the transaction journal data for not including label in the multiple transaction journal data according to matching verification is carried out;With And the notification data and the transaction journal data are subjected to matching verification based on the matching rule data.
In one embodiment, for different types of service, reconciliation rule is different.1, advice of collection file content, it is main If the information of enterprise's payment, wherein comprising paying the information such as enterprise, payment amount of money, collecting account;Transaction journal is by trustship row It provides, wherein comprising paying the information such as enterprise, payment amount of money, collecting account;
For payment, reconciliation rule is fairly simple, meets two conditions, i.e., the amount of money of premium notice file= Collecting account=transaction journal collecting account of the amount of money of transaction journal, premium notice file.
For other different types of service, different reconciliation rules is set, such as fund is got, in addition to two above Reconciliation rule is outer, also to add and get the identical rule (name, type of credential, identification card number) of personnel's three elements.
As shown in figure 4, in S410, when matching verifies successfully, by notification data friendship corresponding with notification data The tag update of easy pipelined data is matching status.Wherein, at the beginning of the label of the notification data and the transaction journal data Beginning state is non-matching status.It can also be for example, automatic trigger circular document and transaction after obtaining network bank business chronological file The automatic reconciliation function of flowing water.
In one embodiment, account checking method can be matched according to the circular document of different business scene, can be for example, first Handle premium notice file, then call premium notice file matching rule, traverse transaction journal one by one, if transaction journal with should Circular document does not pass through matching verification, then verifies failure, which is matched with next record flowing water, if passed through Matching verification then illustrates reconciliation success, then terminates Current transaction, and the transaction flowing water and circular document are set to " automatically With " state.
In one embodiment, successively determine that multiple matchings corresponding with the business scenario are advised based on multiple business scenarios Then data;And be based respectively on each of multiple matching rule data matching rule data by the notification data with it is described Transaction journal data carry out matching verification.
In one embodiment, it after having handled a notification data, can automatically begin to carry out next same service class The payment advice of collection file of type matches, and method is same as above, if having traversed all Internetbanks, does not complete matching, illustrates do not have also Receive with the matched Internetbank data of the circular document, then the premium notice file, state remain unchanged, and remain as " not matching " State.All circular documents for traversing same type of service terminate the affairs until completing.
In one embodiment, after the notification data for having handled a type, second of service class can be automatically begun to The circular document of type matches, and the circular document of second of type of service may be, for example, payment circular document, then payment is called to notify File matching rule, matching process are same as above, and are successively carried out.
According to the account checking method based on enterprise annuity account of the disclosure, the matching rule data are based on by the notice Data match with the multiple transaction journal data the mode of verification, can be quickly quasi- in supplementary pension operation system True realization is collected money/remits money the automatic reconciliation of circular document and transaction journal.
It will be clearly understood that the present disclosure describes how to form and use particular example, but the principle of the disclosure is not limited to These exemplary any details.On the contrary, the introduction based on disclosure disclosure, these principles can be applied to many other Embodiment.
Fig. 5 is a kind of signal of the account checking method based on enterprise annuity account shown according to another exemplary embodiment Figure.Fig. 5 illustratively illustrates the Data Matching process in different containers.
Notification data is stored in the first container;
Transaction journal data storage is in second container;
Regular data is stored in third container;
In system import transaction flowing water in second container, automatic reconciliation function, the notice in the first container can be triggered Data are successively matched with transaction journal data according to classification, if reconciliation fails, terminate Current transaction, circular document and Internetbank flowing water state does not become " not matching ", and reconciliation success, then corresponding circular document and network bank business flowing water state are updated to " matching ".It circuits sequentially, which is realized by backstage code.If certain Internetbanks or circular document reconciliation Failure, until staff obtains new network bank business data, and import system, can set out automatic reconciliation function again.
It will be appreciated by those skilled in the art that realizing that all or part of the steps of above-described embodiment is implemented as being executed by CPU Computer program.When the computer program is executed by CPU, above-mentioned function defined by the above method that the disclosure provides is executed Energy.The program can store in a kind of computer readable storage medium, which can be read-only memory, magnetic Disk or CD etc..
Further, it should be noted that above-mentioned attached drawing is only the place according to included by the method for disclosure exemplary embodiment Reason schematically illustrates, rather than limits purpose.It can be readily appreciated that above-mentioned processing shown in the drawings is not indicated or is limited at these The time sequencing of reason.In addition, be also easy to understand, these processing, which can be, for example either synchronously or asynchronously to be executed in multiple modules.
Following is embodiment of the present disclosure, can be used for executing embodiments of the present disclosure.It is real for disclosure device Undisclosed details in example is applied, embodiments of the present disclosure is please referred to.
Fig. 6 is a kind of block diagram of account checking apparatus based on enterprise annuity account shown according to an exemplary embodiment.Such as Shown in Fig. 6, the account checking apparatus 60 based on enterprise annuity account includes: notification data module 602, pipelined data module 604, rule Data module 606, correction verification module 608 and label model 610.
Notification data module 602 is for obtaining notification data;Obtain notification data.Notification data can be for example logical by collecting money Know, pay notice of remitting money, pay tax remit money notice, leave office produce notice of remitting money, investment remit money notice generate.
Pipelined data module 604 is for obtaining multiple transaction journal data;Obtain multiple transaction journal data.Transaction journal Data can for example by payment gathering network bank business flowing water, payment remit money network bank business flowing water, network bank business of paying tax flowing water, from Network bank business flowing water of remitting money is produced in duty, investment is remitted money, and network bank business flowing water forms.
Regular data module 606 is used to determine matching rule data according to the notification data;According to the notification data By determining matching rule data in third container.
Correction verification module 608 is used to be based on the matching rule data for the notification data and the multiple transaction flow water number According to carrying out matching verification;Successively extracting tag state in the multiple transaction journal data is not matched transaction journal data; And the notification data and the transaction journal data are subjected to matching verification based on the matching rule data.
Label model 610 is used for when matching verifies successfully, by notification data transaction flow corresponding with notification data The tag update of water number evidence is matching status.Account checking method can be matched according to the circular document of different business scene, can For example, first handling premium notice file, then premium notice file matching rule is called, traverses transaction journal one by one, if transaction Flowing water does not pass through with the circular document matches verification, then verifies failure, which is matched with next record flowing water, If having passed through matching verification, illustrates reconciliation success, then terminate Current transaction, the transaction flowing water and circular document are set automatically For " matching " state.
According to the account checking apparatus based on enterprise annuity account of the disclosure, the matching rule data are based on by the notice Data match with the multiple transaction journal data the mode of verification, can be quickly quasi- in supplementary pension operation system True realization is collected money/remits money the automatic reconciliation of circular document and transaction journal.
Fig. 7 is a kind of block diagram of the account checking apparatus based on enterprise annuity account shown according to another exemplary embodiment. Account checking apparatus 70 based on enterprise annuity account further includes as follows on the basis of account checking apparatus 60 based on enterprise annuity account Device: the first container 702, second container 704, third container 706.
The first container 702 is also used to obtain in real time and be used by first for storing the notice operation data, the first container 702 Family is sent to the notice operation data of second user, the notice operation data include payment advice of collection, payment remit money notice, Pay tax remit money notice, leave office produce notice of remitting money, investment is remitted money notice.
Second container 704 is also used to obtain in real time and be used by second for storing the transactional operation data, second container 704 Family is sent to the transactional operation data of the first user, and the transactional operation data include payment gathering network bank business flowing water, payment Network bank business of remitting money flowing water, network bank business of paying tax flowing water leave office and produce network bank business flowing water of remitting money, invest Internetbank friendship of remitting money Easy flowing water.
Third container 706 is for storing matching rule data.Matching rule data can be for example by user according to different Reconciliation rule setting.
It will be appreciated by those skilled in the art that above-mentioned each module can be distributed in device according to the description of embodiment, it can also Uniquely it is different from one or more devices of the present embodiment with carrying out corresponding change.The module of above-described embodiment can be merged into One module, can also be further split into multiple submodule.
Fig. 8 is the block diagram of a kind of electronic equipment shown according to an exemplary embodiment.
The electronic equipment 200 of this embodiment according to the disclosure is described referring to Fig. 8.The electronics that Fig. 8 is shown Equipment 200 is only an example, should not function to the embodiment of the present disclosure and use scope bring any restrictions.
As shown in figure 8, electronic equipment 200 is showed in the form of universal computing device.The component of electronic equipment 200 can wrap It includes but is not limited to: at least one processing unit 210, at least one storage unit 220, (including the storage of the different system components of connection Unit 220 and processing unit 210) bus 230, display unit 240 etc..
Wherein, the storage unit is stored with program code, and said program code can be held by the processing unit 210 Row, so that the processing unit 210 executes described in this specification above-mentioned electronic prescription circulation processing method part according to this The step of disclosing various illustrative embodiments.For example, the processing unit 210 can execute step as shown in Figure 4.
The storage unit 220 may include the readable medium of volatile memory cell form, such as random access memory Unit (RAM) 2201 and/or cache memory unit 2202 can further include read-only memory unit (ROM) 2203.
The storage unit 220 can also include program/practical work with one group of (at least one) program module 2205 Tool 2204, such program module 2205 includes but is not limited to: operating system, one or more application program, other programs It may include the realization of network environment in module and program data, each of these examples or certain combination.
Bus 230 can be to indicate one of a few class bus structures or a variety of, including storage unit bus or storage Cell controller, peripheral bus, graphics acceleration port, processing unit use any bus structures in a variety of bus structures Local bus.
Electronic equipment 200 can also be with one or more external equipments 300 (such as keyboard, sensing equipment, bluetooth equipment Deng) communication, can also be enabled a user to one or more equipment interact with the electronic equipment 200 communicate, and/or with make Any equipment (such as the router, modulation /demodulation that the electronic equipment 200 can be communicated with one or more of the other calculating equipment Device etc.) communication.This communication can be carried out by input/output (I/O) interface 250.Also, electronic equipment 200 can be with By network adapter 260 and one or more network (such as local area network (LAN), wide area network (WAN) and/or public network, Such as internet) communication.Network adapter 260 can be communicated by bus 230 with other modules of electronic equipment 200.It should Understand, although not shown in the drawings, other hardware and/or software module can be used in conjunction with electronic equipment 200, including but unlimited In: microcode, device driver, redundant processing unit, external disk drive array, RAID system, tape drive and number According to backup storage system etc..
Through the above description of the embodiments, those skilled in the art is it can be readily appreciated that example described herein is implemented Mode can also be realized by software realization in such a way that software is in conjunction with necessary hardware.Therefore, according to the disclosure The technical solution of embodiment can be embodied in the form of software products, which can store non-volatile at one Property storage medium (can be CD-ROM, USB flash disk, mobile hard disk etc.) in or network on, including some instructions are so that a calculating Equipment (can be personal computer, server or network equipment etc.) executes the above method according to disclosure embodiment.
Fig. 9 schematically shows a kind of computer readable storage medium schematic diagram in disclosure exemplary embodiment.
Refering to what is shown in Fig. 9, describing the program product for realizing the above method according to embodiment of the present disclosure 400, can using portable compact disc read only memory (CD-ROM) and including program code, and can in terminal device, Such as it is run on PC.However, the program product of the disclosure is without being limited thereto, in this document, readable storage medium storing program for executing can be with To be any include or the tangible medium of storage program, the program can be commanded execution system, device or device use or It is in connection.
Described program product can be using any combination of one or more readable mediums.Readable medium can be readable letter Number medium or readable storage medium storing program for executing.Readable storage medium storing program for executing for example can be but be not limited to electricity, magnetic, optical, electromagnetic, infrared ray or System, device or the device of semiconductor, or any above combination.The more specific example of readable storage medium storing program for executing is (non exhaustive List) include: electrical connection with one or more conducting wires, portable disc, hard disk, random access memory (RAM), read-only Memory (ROM), erasable programmable read only memory (EPROM or flash memory), optical fiber, portable compact disc read only memory (CD-ROM), light storage device, magnetic memory device or above-mentioned any appropriate combination.
The computer readable storage medium may include in a base band or the data as the propagation of carrier wave a part are believed Number, wherein carrying readable program code.The data-signal of this propagation can take various forms, including but not limited to electromagnetism Signal, optical signal or above-mentioned any appropriate combination.Readable storage medium storing program for executing can also be any other than readable storage medium storing program for executing Readable medium, the readable medium can send, propagate or transmit for by instruction execution system, device or device use or Person's program in connection.The program code for including on readable storage medium storing program for executing can transmit with any suitable medium, packet Include but be not limited to wireless, wired, optical cable, RF etc. or above-mentioned any appropriate combination.
Can with any combination of one or more programming languages come write for execute the disclosure operation program Code, described program design language include object oriented program language-Java, C++ etc., further include conventional Procedural programming language-such as " C " language or similar programming language.Program code can be fully in user It calculates and executes in equipment, partly executes on a user device, being executed as an independent software package, partially in user's calculating Upper side point is executed on a remote computing or is executed in remote computing device or server completely.It is being related to far Journey calculates in the situation of equipment, and remote computing device can pass through the network of any kind, including local area network (LAN) or wide area network (WAN), it is connected to user calculating equipment, or, it may be connected to external computing device (such as utilize ISP To be connected by internet).
Above-mentioned computer-readable medium carries one or more program, when said one or multiple programs are by one When the equipment executes, so that the computer-readable medium implements function such as: obtaining notification data;Obtain multiple transaction flow water numbers According to;Matching rule data are determined according to the notification data;Based on the matching rule data by the notification data with it is described Multiple transaction journal data carry out matching verification;And when matching verifies successfully, by the notification data and notification data pair The tag update for the transaction journal data answered is matching status.
By the description of above embodiment, those skilled in the art is it can be readily appreciated that example embodiment described herein It can also be realized in such a way that software is in conjunction with necessary hardware by software realization.Therefore, implemented according to the disclosure The technical solution of example can be embodied in the form of software products, which can store in a non-volatile memories In medium (can be CD-ROM, USB flash disk, mobile hard disk etc.) or on network, including some instructions are so that a calculating equipment (can To be personal computer, server, mobile terminal or network equipment etc.) it executes according to the method for the embodiment of the present disclosure.
It is particularly shown and described the exemplary embodiment of the disclosure above.It should be appreciated that the present disclosure is not limited to Detailed construction, set-up mode or implementation method described herein;On the contrary, disclosure intention covers included in appended claims Various modifications and equivalence setting in spirit and scope.

Claims (10)

1. a kind of account checking method based on enterprise annuity account characterized by comprising
Obtain notification data;
Obtain multiple transaction journal data;
Matching rule data are determined according to the notification data;
The notification data and the multiple transaction journal data are subjected to matching verification based on the matching rule data;And
It is by the tag update of notification data transaction journal data corresponding with notification data when matching verifies successfully Matching status.
2. the method as described in claim 1, which is characterized in that further include:
Real-time acquisition notice operation data, the notice operation data include payment advice of collection, pay notice of remitting money, prop up and pay duty Gold remit money notice, leave office produce notice of remitting money, investment is remitted money notice;
The notice operation data is stored in the first container, the notification data is generated.
3. the method as described in claim 1, which is characterized in that further include:
Real-time to obtain transactional operation data, the transactional operation data include payment gathering network bank business flowing water, pay net of remitting money Silver-colored transaction journal, network bank business of paying tax flowing water leave office and produce network bank business flowing water of remitting money, invest network bank business stream of remitting money Water;
By the transactional operation data storage in second container, the transaction journal data are generated.
4. the method as described in claim 1, which is characterized in that determine that matching rule data include: according to the notification data
According to the notification data by determining matching rule data in third container.
5. the method as described in claim 1, which is characterized in that at the beginning of the label of the notification data and the transaction journal data Beginning state is non-matching status.
6. method as claimed in claim 5, which is characterized in that be based on the matching rule data for the notification data and institute It states multiple transaction journal data and match verifying and include:
Successively extracting tag state in the multiple transaction journal data is not matched transaction journal data;And
The notification data and the transaction journal data are subjected to matching verification based on the matching rule data.
7. method as claimed in claim 6, which is characterized in that be based on the matching rule data for the notification data and institute It states transaction journal data and match verifying and include:
Successively multiple matching rule data corresponding with the business scenario are determined based on multiple business scenarios;And
Each of multiple matching rule data matching rule data are based respectively on by the notification data and the transaction flow Water number is according to carrying out matching verification.
8. a kind of account checking apparatus based on enterprise annuity account characterized by comprising
Notification data module, for obtaining notification data;
Pipelined data module, for obtaining multiple transaction journal data;
Regular data module, for determining matching rule data according to the notification data;
Correction verification module, for being carried out the notification data and the multiple transaction journal data based on the matching rule data Matching verification;
Label model is used for when matching verifies successfully, by notification data transaction journal data corresponding with notification data Tag update be matching status.
9. a kind of electronic equipment characterized by comprising
One or more processors;
Storage device, for storing one or more programs;
When one or more of programs are executed by one or more of processors, so that one or more of processors are real The now method as described in any in claim 1-7.
10. a kind of computer-readable medium, is stored thereon with computer program, which is characterized in that described program is held by processor The method as described in any in claim 1-7 is realized when row.
CN201811409168.2A 2018-11-23 2018-11-23 Account checking method, device, electronic equipment and computer-readable medium Pending CN109584031A (en)

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CN112561674A (en) * 2020-12-08 2021-03-26 中国航空结算有限责任公司 Passenger transport income settlement method, device, storage medium and electronic equipment
CN113535839A (en) * 2021-07-23 2021-10-22 中信银行股份有限公司 Method and device for comparing annual fee payment data of group, terminal equipment and storage medium
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