How to create a custom ISO xml layout for Bank Transmissions in PeopleSoft
We do not own Financial Gateway and have currently been using a PS delivered Layout text file that has gone to the bank. But now we are changing banks and will be required to send ISO-20022 pain.001.001.03 xml file.
Does anyone have the steps and/or a sample custom xml layout that they have used to resolve this issue in their own company? We are on PS FSCM 9.1/Ptools 8.52.15/Sql Server 2012/Windows 2012.
Thanks so much,
Ken Armstrong