FI Auditor

The FI Auditor pplies auditing policies and reviews transactions that meet the specified policy conditions for their bank.

An FI Auditor user belongs to the FI_CBDC_AUDITORS group and has the Org Auditor role. The FI Auditor can navigate and see filterable transaction history for all accounts at their bank.

The following tasks are typical ones that a FI Auditor completes.

Apply Policies

  1. In the Auditing Policies pane, select the policies to apply, as described in the following table.
    Policy Information
    Single Transfer Amount Select a symbol from the list and then enter an amount to audit single transfers.
    Number of Transfers Exceeding Enter a number of transfers and then select a period of time from the list to audit the number of transfers in that period.
    Daily Transfer Total Amount Exceeding Enter a value to audit the total daily transfer amount.
    Any Transfers to Specific Account Select a recipient to audit.
    Any Transfers from Specific Accounts Select a sender to audit.
  2. Click Apply. The policies are applied and relevant transactions are displayed in the Transaction History pane.