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A Model of Error Management for Financial Systems

  • Conference paper
Scientific Engineering of Distributed Java Applications (FIDJI 2003)

Part of the book series: Lecture Notes in Computer Science ((LNCS,volume 2952))

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Abstract

This paper presents an overview of the lessons learned about error management during implementation of a large financial system at Clearstream International, part of Deutsche Börse Group. Proper error management across the software comprising a financial system is a crucial ingredient in ensuring integrity of assets stored as data in a persistent media. As an experience report this paper addresses issues related to error management encountered during implementation of a large financial system that involved more than a hundred developers. As part of this paper we present a model of errors, notifications and rule failures.

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© 2004 Springer-Verlag Berlin Heidelberg

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Ewetz, H., Sharif, N. (2004). A Model of Error Management for Financial Systems. In: Guelfi, N., Astesiano, E., Reggio, G. (eds) Scientific Engineering of Distributed Java Applications. FIDJI 2003. Lecture Notes in Computer Science, vol 2952. Springer, Berlin, Heidelberg. https://doi.org/10.1007/978-3-540-24639-8_8

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  • DOI: https://doi.org/10.1007/978-3-540-24639-8_8

  • Publisher Name: Springer, Berlin, Heidelberg

  • Print ISBN: 978-3-540-21091-7

  • Online ISBN: 978-3-540-24639-8

  • eBook Packages: Springer Book Archive

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