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.
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:
Updating the SWIFT Currency table in Integrator
Updating the SWIFT Country table in Integrator
Updating the SWIFT IBAN tables (BICplusIBAN and IBAN_IS)