Business-NAB
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lib/Business/NAB/Acknowledgement/Issue.pm view on Meta::CPAN
=head2 is_ready_for_auth
=head2 is_referred
=head2 is_released
=head2 is_report
=head2 is_reserved
=head2 is_uploaded
=head2 is_validated
=head2 is_warning
Boolean checks on the issue type
=cut
# type codes map to the transaction state, which is *inferred*
# from the detail in the text the Issue contains
my %type_lookup = (
error => 'is_error',
warning => 'is_warning',
2025 => 'is_uploaded',
5013 => 'is_corrected',
6010 => 'is_ready_for_auth',
6014 => 'is_authorised',
50040 => 'is_changed',
104503 => 'is_validated',
104506 => 'is_invalid',
112215 => 'is_invalid',
130000 => 'is_checked',
130001 => 'is_reserved',
130003 => 'is_referred',
t/lib/Business/NAB/Acknowledgement/Issue.t view on Meta::CPAN
subtest 'attributes' => sub {
is( $Issue->code, 1, '->code' );
is( $Issue->detail, 'foo', '->detail' );
};
};
subtest 'type code handling' => sub {
ok( $class->new( type => 'error' )->is_error, '->is_error' );
ok( $class->new( type => 'warning' )->is_warning, '->is_warning' );
ok( $class->new( type => 2025 )->is_uploaded, '->is_uploaded' );
ok( $class->new( type => 5013 )->is_corrected, '->is_corrected' );
ok( $class->new( type => 6010 )->is_ready_for_auth, '->is_ready_for_auth' );
ok( $class->new( type => 6014 )->is_authorised, '->is_authorised' );
ok( $class->new( type => 50040 )->is_changed, '->is_changed' );
ok( $class->new( type => 104503 )->is_validated, '->is_validated' );
ok( $class->new( type => 104506 )->is_invalid, '->is_invalid' );
ok( $class->new( type => 112215 )->is_invalid, '->is_invalid' );
ok( $class->new( type => 130000 )->is_checked, '->is_checked' );
ok( $class->new( type => 130001 )->is_reserved, '->is_reserved' );
ok( $class->new( type => 130003 )->is_referred, '->is_referred' );
t/lib/Business/NAB/example_files/received_payments.ack view on Meta::CPAN
<PaymentId>11250283</PaymentId>
<OriginalMessageId>11250282</OriginalMessageId>
<DateTime>2021/09/30</DateTime>
<CustomerId>STAGE02</CustomerId>
<CompanyName>STAGE02 SFTP test instance</CompanyName>
<UserMessage>Payment status is PROCESSED</UserMessage>
<DetailedMessage>Payment has been successfully processed.</DetailedMessage>
<OriginalFilename>SAMP01AU_DTDC_0000001.aba</OriginalFilename>
<Issues>
<Issue type="290049">Uploaded Interchange 60063804 for Customer 382097 and Payment Type DL_DIRECTCREDIT.</Issue>
<Issue type="2025">Payment 70066391 successfully uploaded from a file.</Issue>
<Issue type="2025">Payment 70066391 successfully uploaded from a file.</Issue>
<Issue type="104503">Payment successfully validated.</Issue>
<Issue type="181002">Payment has passed Account Validation.</Issue>
<Issue type="6010">Payment is ready for authorisation - 1 authorisations required.</Issue>
<Issue type="6014">Payment has been fully authorised.</Issue>
<Issue type="181253">AVCDEF GHIJKLM [1111111111] has authorised the payment.</Issue>
<Issue type="130000">Available funds check passed.</Issue>
<Issue type="130001">Funds have been reserved.</Issue>
<Issue type="181301">Payment is ready to be submitted for processing.</Issue>
<Issue type="194500">Disbursement Report for Direct Link - Direct Credit Payment: 70066391 sent to mailbox STAGE02</Issue>
</Issues>
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