Trading Networks Configuration Information
The configuration information created to use SWIFT Module with Trading Networks includes the following items:
Document attributes and type definitions
Processing rules
Trading Partner Agreements
The following information is imported into the database from the Import BIC List, Import IBANStructure List, Import SEPAPlus List, Import BankDirectoryPlus List, and Import IBANPlus List screens:
BIC List
BankDirectoryPlus List
SEPAPlus List
IBANStructure List
IBANPlus List
When using SWIFT Module in a clustered environment, the Trading Networks-related configuration information and the imported lists are in the database, which is common for all the clustered nodes and should not be replicated.
Note:
Ensure that the document attributes, document type definitions, processing rules, Trading Partner Agreements, and imported list files are available in the Integration Server where the configuration information is replicated.
Note:
XMLv2 notification reconciliation: The notifications sent by SWIFT are automatically reconciled to the original document, even if the document is sent from a node other than the node receiving the notification. Because the data for reconciling the document exists in the Trading Networks information in the database (JDBC pools) that is shared in the cluster, notification data does not need to be replicated.
To replicate the configuration
1. Ensure that all clustered Integration Server nodes point to the same JDBC pools. For information on how to define JDBC connection pools, see Installing Software AG Products.
2. Replicate all custom flow services and packages by using the copy and send mechanism from the Integration Server Administrator or Designer. For information about replicating packages, see the chapter on managing packages in webMethods Integration Server Administrator’s Guide.