According to new collection, which follows the payment structure for storing the information about payments and payment details, it is necessary to migrate the old collection structure into payment structure.
In old collection, for every transaction the receipt number is generated on bill detail level, as bill contains multiple bill details each transaction is map to multiple receipt number, so after payment of a single bill multiple receipt number is generated for it . These mapping of transaction to receipt number is changed in new collection system.
In new collection system the receipt number is generated on bill level, so for every transaction for each bill one receipt number is generated. So each bill for a consumer code and business service have one receipt number.
The records from tables egcl_receiptheader, egcl_receiptdetails, egcl_instrument, egcl_instrumentheader need to be transferred into tables egcl_payment, egcl_paymentdetail, egcl_bill, egcl_billdetial, egcl_billaccountdetail.
For smooth transaction of data, the record from old receipt has been mapped according to payment structure, so that new payment response can be formed with receipt data.
Bellow is the mapping between receipt and payment structure with some remarks.
Field from Payments | Field from Receipts | Remark |
Payments.Id |
| Set as UUID |
Payments.tenantId | Receipt.tenantId | |
Payments.totalDue |
| Total Due for payment is calculated by subtracting totalAmount from bill and amount from Receipt.instrument |
Payments.totalAmountPaid | Receipt.instrument.amount | |
Payments.transactionNumber | Receipt.instrument.transactionNumber | |
Payments.transactionDate | Receipt.receiptDate | |
Payments.paymentMode | Receipt.instrument.instrumnetType.name | |
Payments.instrumentDate | Receipt.instrument.instrumentDate | |
Payments.instrumentNumber | Receipt.instrument.instrumentNumber | |
Payments.instrumentStatus | Receipt.instrument.instrumentStatus | |
Payments.ifscCode | Receipt.instrument.ifscCode | |
Payments.additionalDetails | Receipt.Bill.additionalDetails | |
Payments.paidBy | Receipt.Bill.paidBy | |
Payments.mobileNumber | Receipt.Bill.mobileNumber | If mobileNumber from Receipt.bill is null it has to set with some value e.g: “NA” Note: Payments.mobileNumber should not be null |
Payments.payerName | Receipt.Bill.payerName | |
Payments.payerAddress | Receipt.Bill.payerAddress | |
Payments.payerEmail | Receipt.Bill.payerEmail | |
Payments.payerId | Receipt.Bill.payerId | |
Payments.paymentStatus |
| Based on paymentMode from Payment, the paymentStatus is set. If paymentMode is ONLINE or CARD then paymentStatus is set to DEPOSITED otherwise it is set to NEW |
Payments.auditDetails.createdBy | Receipt.auditDetails.createdBy | |
Payments.auditDetails.createdTime | Receipt.auditDetails.createdTime | |
Payments.auditDetails.lastModifiedBy | Receipt.auditDetails.lastModifiedBy | |
Payments.auditDetails.lastModifiedTime | Receipt.auditDetails.lastModifiedTime | |
Payments.paymentDetails.Id |
| Set as UUID |
Payments.paymentDetails.tenantId | Receipt.tenantId | |
Payments.paymentDetails.totalDue |
| Total Due for paymentDetails is calculated by subtracting totalAmount from bill and amount from Receipt.instrument |
Payments.paymentDetails.totalAmountPaid | Receipt.instrument.amount | |
Payments.paymentDetails.receiptNumber | Receipt.receiptNumber | |
Payments.paymentDetails.manualReceiptNumber | Receipt.Bill.billDetails.manualReceiptNumber | |
Payments.paymentDetails.manualReceiptDate | Receipt.Bill.billDetails.manualReceiptDate | |
Payments.paymentDetails.receiptDate | Receipt.receiptDate | |
Payments.paymentDetails.receiptType | Receipt.Bill.billDetails.receiptType | |
Payments.paymentDetails.businessService | Receipt.Bill.billDetails.businessService | |
Payments.paymentDetails.additionalDetail | Receipt.Bill.additionalDetail | |
Payments.paymentDetails.auditDetail |
| auditDetail for paymentDetail is same as payment auditDetail |
Payments.paymentDetails.billId |
| Based on id in egbs_billdetail_v1 table billId is extracted,Where id in egbs_billdetail_v1 is Receipt.Bill.billDetails.billNumber |
Payments.paymentDetails.bill |
| Based on the billid, tenantid and service the bill is search by calling the Billing service API and set it to Payments.paymentDetails.bill |
Payments.paymentDetails.bil.billDetails.amountPaid | Receipt.instrument.amount | For each amountPaid in billDetails, its value is set from Receipt.instrument.amount |
After creation of payment response with receipt data, it has been pushed into kafka topic “egov.collection.migration” and with the persister, payment data is inserted into tables egcl_payment, egcl_paymentdetail, egcl_bill, egcl_billdetial, egcl_billaccountdetail .
Indexer config for the legacy data index and new payments.
https://github.com/egovernments/configs/blob/master/egov-indexer/payment-indexer.yml
persister config - https://github.com/egovernments/configs/blob/master/egov-persister/collection-migration-persister.yml
Please get these promoted before initiating the migration process. Migration happens through an API call, add role-actions based on your requirement. Otherwise, port-forwarding should work.
Find the API details below:
Endpoint: /collection-services/payments/_migrate?batchSize=20
Body:
{
"RequestInfo": {
"apiId": "Rainmaker",
"action": "",
"did": 1,
"key": "",
"msgId": "20170310130900|en_IN",
"ts": 0,
"ver": ".01",
"authToken": "a6ad2a1b-821c-4688-a70e-4322f6c34e54"
}
Collection-service build:- collection-services-db:16-COLLECTION_MIGRATION-0a5e432
Billing-service build:- billing-service-db:8-COLLECTION_BULK_BILLS-8744cdc