https://catalogartifact.azureedge.net/publicartifacts/gurugroupllc6202507.gurug_hsbc_connector-0684be8f-5c94-47eb-97e3-e2041e19d840/c1eb3528-95b3-4443-a207-8300f00a948b_HSBCConnectorD365Logo350px.png

HSBC Connector for Microsoft Dynamics 365

Autor: Guru Group LLC

Automate HSBC payments and MT942 reconciliation in Dynamics 365 Finance & Operations.

Streamline your end‑to‑end payment and bank reconciliation processes with the HSBC Payment Connector for Microsoft Dynamics 365 Finance & Operations (D365 F&O).

This connector enables secure, automated, and bi‑directional integration between D365 and HSBC using SFTP, eliminating manual file handling, reducing reconciliation delays, and improving financial accuracy.


Key Capabilities

  • Automated Vendor Payments (Outbound to HSBC)

Simplify your AP disbursement process with a fully automated payment workflow:

    • Generate & Transmit Vendor Payment Files
      • Create vendor payment journals directly in D365.
      • Automatically generate the HSBC‑compliant payment file format.
      • Securely transmit the file to HSBC via their SFTP channel.
    • Receive Processing Acknowledgement (ACK #1)
      • HSBC returns an initial acknowledgement confirming receipt and validation.
      • The connector automatically reads this acknowledgement from SFTP.
      • Updates payment journal records in D365 to reflect submission status.
    • Receive Final Payment Status (ACK #2)
      • After HSBC processes payments, a final acknowledgement is posted on SFTP.
      • The connector retrieves the file and updates each payment line with the final processing status (success, rejection, or exception).
  • Customer Payment Automation via MT942 (Inbound from HSBC)

Enhance AR accuracy and speed with automated daily statement posting.

    • Ingest MT942 Customer Payment Files
      • HSBC posts MT942 intraday statement files on SFTP.
      • The connector reads these files on schedule
    • Auto-Apply Customer Payments in D365
      • MT942 transactions are parsed and mapped to customer accounts.
      • Customer payments are created and applied automatically in D365.
      • Supports multiple matching rules (invoice, customer reference, amount matching, etc.).

Benefits
    • End‑to‑end financial automation for both AP and AR processes.
    • Eliminates manual file uploads/downloads, reducing operational risk.
    • Real-time visibility into payment statuses within D365.
    • Accelerates cash application through MT942-based auto-reconciliation.
    • Strengthens financial controls with standardized, auditable integration.
    • Secure data exchange leveraging HSBC’s SFTP protocols.
    • Reduced reconciliation time and improved working capital insights.

Technical Features
    • Configurable SFTP connection profiles for HSBC.
    • Scheduled batch jobs for inbound/outbound automation.
    • Error log & exception handling in D365.
    • Mapping framework for payment files and MT942 statements.

Ideal For

Organizations using Corporate Banking and D365 F&O for ERP who want to automate:

    • Vendor payment processing
    • Customer payment processing
    • Bank acknowledgement tracking

Pricing Plan

Setup Fee: USD 5,000
Yearly License: USD 3,000

Rychlý přehled

https://catalogartifact.azureedge.net/publicartifacts/gurugroupllc6202507.gurug_hsbc_connector-0684be8f-5c94-47eb-97e3-e2041e19d840/ce3397b8-e96c-46fa-8171-7c77fd10ba65_trailer.png
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https://catalogartifact.azureedge.net/publicartifacts/gurugroupllc6202507.gurug_hsbc_connector-0684be8f-5c94-47eb-97e3-e2041e19d840/eadaca41-ba08-48f3-a071-5f13db6097d8_01.png
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