Importing recipient accounts

 
Explanation

You import one or multiple recipient accounts from a CSV file. The CSV file must be structured according to a specific schema. Optional fields need not be filled. However, the columns and the column header in the CSV file must exist for optional fields also.

Make sure that the import data is ISO encoded. Otherwise, special characters in the account data will not be imported correctly.

Procedure for saving a file in MS Excel with ISO encoding

1.

Open the file in MS Excel.

2.

Click on File ➔ Save as, button Tools.

3.

Click on Web Options, tab Encoding.

4.

From the list Save this document as: select the entry Western European (ISO).

File structure

The first line contains the following column titles. The second and subsequent lines contain the account data.

Column

Max. field length

Description

RECIPIENT_NAME

70

Name of the recipient

RECIPIENT_ID

50

Optional: ID of the recipient

RECIPIENT_STREET

140

Optional: street and house number of the recipient

RECIPIENT_CITY

140

Optional: city of the recipient

RECIPIENT_COUNTRY_CODE_ISO

2

ISO country code of the recipient

RECIPIENT_PHONE

50

Optional: phone number of the recipient

RECIPIENT_EMAIL

50

Optional: e-mail address of the recipient

ACCOUNT_COUNTRY_CODE_ISO

2

Optional: ISO country code of the recipient account

IBAN

34

Optional: IBAN of the recipient account

BIC

11

Optional for German accounts: BIC of the recipient account

NATIONAL_ACCOUNT_NUMBER

35

Optional for German accounts, if IBAN specified: national account number

NATIONAL_BANK_CODE

11

Optional for German accounts, if IBAN specified: national bank code

ESR_NUMBER_CH

11

Optional, only for Swiss accounts: reference number of the inpayment slip

BANK_NAME

50

Optional: name of the recipient bank

BANK_STREET

50

Optional: street and house number of the recipient bank

BANK_CITY

50

Optional: city of the recipient bank

POSTAL_ACCOUNT_NUMBER_CH

50

Optional, only for Swiss accounts: postal account number of the recipient bank

CORRESPONDING_ACCOUNT

140

Optional, correspondent account

CLEARING_SYSTEM_CODE

2

Optional, national clearing system code

DESCRIPTION

140

Optional, account name

You can easily create an import file by exporting existing recipient accounts from the application.

Proceed as follows:

1.

In the menu Settings ➔ Customer settings, select the tab Recipient accounts.

2.

In the mask area CSV file, click on Export.

3.

Save the export file.

The export file contains an additional meta data area (lines 1-3) which is, however, optional for an import file.

Procedure

1.

Create the import file with a suitable editor or programme, for example MS Excel.

2.

In the application, select Settings ➔ Customer settings and the tab Recipient accounts.

3.

a)

Procedure via the button Import:

In the mask area CSV file, click on Import.

Drag and drop the import file onto the corresponding mask area.

Note:

Alternatively, click on Select file and navigate to the import file using the file explorer.

b)

Drag and drop the import file directly into the list view of the tab Recipient accounts.

4.

From the selection list Import mode, select how the data shall be imported. The import modes have the following meaning:

Create

New accounts from the import file are created, while existing accounts are not changed.

Update

New accounts from the import file are created and existing accounts are adapted.

Replace

All existing accounts are deleted and accounts from the import file are created.

5.

Click on Import.

The following mask displays the result of the import.

If the application detects errors in the import file, an error file with the erroneous data records is offered for download.

You can edit the data records in the error file and restart the import. The error file contains the correct import format.

After confirmation, the imported data is displayed on the tab Recipient accounts.