Preface

Background

Oracle Banking Cash Management enables a financial institution to manage the account receivables and account payables of their corporate customers. Oracle Banking Cash Management provides a technology platform capable of capturing account receivables and account payables of corporates across disparate accounts and locations. This in turn enables better management of working capital for the corporate.

Purpose

The purpose of this Release Notes is to highlight the various features in Oracle Banking Cash Management 14.7.0.0.0 release to meet various challenges faced by financial institutions. It addresses each of the cash management processes from design through execution. Its unique value lies in its ability to provide the business with predefined processes and a world-class framework that takes care of business risk and compliance needs.

Audience

This guide is intended for the following audience:
  • Customers
  • Partners

List of Acronyms and Abbreviations

Table -1 List of Acronyms and Abbreviations

Abbreviation Description
API Application Programming Interface
LHS Left Hand Side
ML Machine Learning
OS Operating System
UI User Interface

List of Topics

This guide is organized as follows:

Table -2 List of Topics

Topics Description
Release Notes This topic provides the information on the release enhancements for Oracle Banking Cash Management.
Components of the Software This topic consists of the technology pre-requisites required for Oracle Banking Cash Management.
Environment Details This topic provides the information on the environment details for Oracle Banking Cash Management.
Third-Party Software This topic provides the information on licensing of third-party software that are packaged with Oracle Banking Cash Management.

Related Documents

For more information, refer to the following documents:
  • Oracle Banking Cash Management User Manuals
  • Oracle Banking Cash Management License Guide