Table of Contents

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  1. Preface
  2. Introduction to Banking Use Case
  3. Before You Begin
  4. Alerting Customer Account Balance Details
  5. Notifying Stock Price Changes
  6. Notifying Credit Card Transactions
  7. Notifying Free Health Checkups for Account Holders
  8. Alerting the Bank Manager about Customers with a Particular Account Type in a City Overview
  9. Alerting Customer Cash Withdrawal Details
  10. Alerting Stock Prices to DMAT Account Holders
  11. Checking Customer Cash Withdrawal Details for a Specified Duration
  12. Alerting Consequent Credit Card Transaction Rejections
  13. Monitoring Balance Threshold of Customers
  14. Using the Dashboard Functions
  15. Managing Banking Users and Roles
  16. Importing and Exporting Objects
  17. Setting Up High Availability
  18. Using Custom Services
  19. Using the REST APIs
  20. Using Java Adapter for REST API

Banking Use Case Tutorial

Banking Use Case Tutorial

Step 1. Add a Node

Step 1. Add a Node

You must configure a node in addition to the default node so that you can configure one of the nodes as the backup node for high availability.
  1. On the
    Administration
    tab, select
    Topology
    .
  2. Select
    Nodes
    from the Topology tree on the left pane.
  3. In the right pane, click
    Actions
    Add Node
    .
    The following figure shows the configuration fields for adding a node in the topology:
    The New Node configurations page in the topology view shows the fields for configuring the node properties.
  4. Configure the following properties:
    Field
    Value
    Name
    NODE 2
    Description
    Second node
    Host
    Select the host from the menu
    Port
    Provide a unique number between 19000 and 19997
    The following figure shows the configured node in the topology:
    After you configure the node, you can view the configured node in the Topology view.
  5. Click
    Save
    .

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