Normalize bank statement formats into a single model
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As a Treasury Operations user, I want to normalize incoming statement formats into a standard data model, so that downstream processes can work consistently across banks.
As a Treasury Operations
I want normalize incoming statement formats into a standard data model
So that downstream processes can work consistently across banks
Capability tags
Required features
Acceptance criteria
- Standard fields are mapped (value date, booking date, amount, currency, references).
- Unmapped fields are preserved for audit.
- Mapping rules are configurable per bank and format.
Related stories
More in the parent area
- Automated bank statement import — finance/treasury/bank-connectivity/statement-ingestion
- Connectivity monitoring and alerts for bank channels — finance/treasury/bank-connectivity/acks-reporting
