Implementation > SWIFTNet connectivity > Managing SWIFT tables > SWIFT tables in Integrator > Managing SWIFT tables in Integrator

Managing SWIFT tables in Integrator

Overview

Integrator uses SWIFT tables when it applies the Check Constraints defined in Business-Documents to SWIFT messages.

This book describes how to update the content of the SWIFT tables in Integrator.

Table update procedures

The Integrator SWIFT repository contains the following types of SWIFT table:

To populate the tables of the Integrator SWIFT repository for use in SWIFT Business-Document Check Constraints, you execute the following set of procedures:

  1. In Composer, import the add-on Integration-Process for the repository table updating to Composer.
  2. Create a set of associated Composer objects including an Integration-Task for your specific Integrator Server instance.
  3. Copy the data input files for Country, Currency, BIC and BICplusIBAN tables from the folder where you store your SWIFT-supplied update files.
  4. For Currency and Country tables only, import the .txt file data content to the SWIFT table.

Related topics

Updating the SWIFT Currency table in Integrator

Updating the SWIFT Country table in Integrator

Updating the SWIFT IBAN tables (BICplusIBAN and IBAN_IS)