Durga Analytics • Core Banking • FLEXCUBE
ORACLE FLEXCUBE – CORPORATE BANKING
Enterprise Core Banking & Platform Mastery Program
A cumulative, enterprise-grade training program designed to take learners from zero banking background to senior FLEXCUBE production support, platform and OBPM roles. Built exactly the way Tier‑1 banks train internal teams.
Program Snapshot
- • Level 400–500 | Zero background friendly
- • 120+ cumulative chapters
- • Corporate Banking + FLEXCUBE + OBPM
- • EOD, Database, Production Support deep dive
- • Interview + on‑job readiness
Target Roles
- • Oracle FLEXCUBE Application Support (L2 / L3)
- • FLEXCUBE Platform / Environment Engineer
- • Core Banking Production Support Analyst
- • Corporate Banking Systems SME
- • FLEXCUBE + OBPM Support Consultant
Curriculum — 150 Cumulative Chapters
Track 1: Banking & Core Systems Foundations (Modules 1–2 | Chapters 1–20)
MODULE 1: Banking & Corporate Banking Foundations (Ch 1–10)
- What Banks Actually Do (Beyond Theory)
- Retail vs Corporate Banking – Operational Reality
- Corporate Banking Products Overview
- How Money, Risk & Trust Flow in Banks
- Role of Relationship Managers, Credit, Ops
- Facilities, Limits & Exposure – Plain English
- Funded vs Non-Funded Business
- Why Regulations Drive Everything
- Operational Risk in Corporate Banking
- Why Core Banking Systems Exist
MODULE 2: Core Banking Systems & FLEXCUBE Overview (Ch 11–20)
- What Is a Core Banking System (CBS)
- Where FLEXCUBE Fits in the Bank Landscape
- FLEXCUBE Product & Module Map
- Front Office vs Back Office vs CBS
- Online vs Batch Processing
- Maker–Checker & Dual Control
- Audit Trail & Traceability
- Real-Time vs Deferred Processing
- End-of-Day (EOD) Concept
- Enterprise Failure Scenarios
Track 2: FLEXCUBE Functional & Corporate Banking Mastery (Modules 3–7 | Chapters 21–85)
MODULE 3: FLEXCUBE Architecture – Business & Tech View (Ch 21–30)
- FLEXCUBE High-Level Architecture
- Application, Database & Interface Layers
- Entities, Branches & Booking Offices
- Multi-Currency & Multi-Entity Design
- Transaction Lifecycle in FLEXCUBE
- Authorization & Controls
- Error Handling & Reversals
- Logging & Monitoring Concepts
- Batch vs Online Dependencies
- Architecture Case Study
MODULE 4: Corporate Customer (CIF) & Account Lifecycle (Ch 31–45)
- Customer Information File (CIF) Explained
- Individual vs Corporate CIF
- Parent–Subsidiary & Group Structures
- KYC, AML & Risk Rating (Awareness)
- Corporate Account Types
- Mandates & Signatory Controls
- Account Opening Flow
- Multi-Currency Accounts
- Freezes, Legal Holds & Compliance
- Dormancy & Reactivation
- Account Closure & Settlement
- Data Quality Risks
- Operational Controls
- Audit View
- Case Study – Corporate Onboarding
MODULE 5: Limits, Facilities & Exposure Management (Ch 46–60)
- Facility vs Account – Critical Difference
- Global Limits & Sub-Limits
- Utilization, Availability & Drawing Power
- Revolving vs Non-Revolving Facilities
- Temporary Excess & Overrides
- Collateral & Security (Awareness)
- Covenant Monitoring
- Breach Detection & Escalation
- Amendments & Renewals
- Limit Expiry Handling
- Risk View of Exposure
- Operational Failures
- Regulatory Expectations
- Reporting View
- Case Study – Multi-Facility Client
MODULE 6: Corporate Lending Lifecycle (Ch 61–75)
- Corporate Loan Types (TL, WC, OD)
- Loan Product Setup – Conceptual
- Disbursement Flow
- Repayment & Schedules
- Interest Calculation Logic
- Pricing & Charges
- Restructuring & Amendments
- Prepayment & Foreclosure
- Past Due & Delinquency
- NPA & Recovery (Awareness)
- Accounting Impact of Loans
- Risk & Controls
- Operational Pitfalls
- Regulatory View
- Case Study – Corporate Loan Lifecycle
MODULE 7: Accounting, GL & Finance View (Ch 76–85)
- Banking Accounting for Non-Accountants
- Event-Driven Accounting in FLEXCUBE
- Debit / Credit Logic
- Product-GL Mapping
- Accruals & Provisions
- Suspense & Clearing Accounts
- Reconciliation Concepts
- Month-End & Quarter-End
- Audit & Regulatory Reporting
- Case Study – Accounting Break
Track 3: Implementation & Change Awareness – Level 500 (Modules 8–9 | Chapters 86–105)
MODULE 8: FLEXCUBE Configuration & Environment Awareness (Ch 86–95)
- Configuration vs Customization
- Product Definition Lifecycle
- Parameter Tables & Static Data
- User Roles & Security
- Workflow & Approvals
- Versioning & Change Control
- Migration & Cutover Concepts
- Impact Analysis Before Change
- Common Configuration Errors
- UAT Readiness Checklist
MODULE 9: Integration & Ecosystem (Ch 96–105)
- Why FLEXCUBE Integrates with Everything
- Channel Systems Overview
- Payments Landscape (High Level)
- Host-to-Host Interfaces
- Real-Time vs Batch Interfaces
- Cut-Offs & Dependencies
- Reconciliation Failures
- Regulatory Interfaces
- Security & Encryption (Awareness)
- Case Study – Interface Failure
Track 4: Platform, EOD & Production Support (Modules 10–11 | Chapters 106–120)
MODULE 10: FLEXCUBE Environment & Platform Support (Ch 106–112)
- Non-Prod Environments (DEV / SIT / UAT)
- Environment Readiness Checks
- Deployment Support & Rollback
- Performance Monitoring Basics
- Capacity & Stability Considerations
- Escalation Management
- Case Study – Failed Deployment
MODULE 11: FLEXCUBE EOD Batch Operations (Ch 113–120)
- EOD Lifecycle – End-to-End
- Online to Batch Transition
- EOD Stages & Dependencies
- Common EOD Failures
- Restart vs Rollback Decisions
- Accounting & GL Posting Failures
- Business Impact & Communication
- Case Study – EOD Crisis Handling
Track 5: Database, OBPM & Incident Mastery (Modules 12–14 | Chapters 121–150)
MODULE 12: FLEXCUBE Database & Accounting Exception Handling (Ch 121–130)
- FLEXCUBE Database Design Concepts
- Transaction vs Accounting Tables
- Tracing Transactions at DB Level
- Data Fix vs Configuration Fix
- Information Delivery (ID) Architecture
- Exception Reporting
- Reconciliation Break Analysis
- Audit-Safe Investigation
- Preventive Controls
- Case Study – Accounting Mismatch
MODULE 13: OBPM 14.5+ & Payments Support (Ch 131–140)
- OBPM Architecture Overview
- OBPM Role in Payment Flow
- Message Lifecycle
- Real-Time Payment Failures
- Batch Payment Failures
- Duplicate / Timeout Scenarios
- OBPM ↔ FLEXCUBE Reconciliation
- Cut-Off & Settlement Issues
- Regulatory & Compliance View
- Case Study – Payment Incident
MODULE 14: Production Support, Incidents & Career Readiness (Ch 141–150)
- L2 vs L3 Support Responsibilities
- Incident Classification (Severity)
- Root Cause Analysis (RCA)
- Stakeholder Communication
- Production War-Room Handling
- Preventive Measures
- Automation & Scripting (Basic)
- Resume & Interview Positioning
- Common Interview Questions
- Becoming a FLEXCUBE Platform SME
Internal Certification
| Level | Certification |
|---|---|
| Level 400 | FLEXCUBE Corporate Banking Practitioner |
| Level 500 | FLEXCUBE Platform & Production Support Specialist |
Pricing & Plans
Instructors & Credibility
Course Authors & Program Leads
Senior practitioners with hands-on experience in Oracle FLEXCUBE (v12.x+), corporate banking operations, core banking production support, EOD batch management, OBPM payments, and large-scale BFSI platform environments.
Background includes:
Tier-1 bank core banking support teams,
FLEXCUBE implementations & upgrades,
production incident management (L2/L3),
accounting & GL controls,
regulatory readiness,
and bank-internal capability building programs.
Program assets:
Enterprise runbooks,
EOD failure playbooks,
production incident scenarios,
configuration impact guides,
OBPM payment flow diagrams,
and interview-ready case studies.
Get Started
Enroll or request a cohort. We'll provide access to curriculum, lab datasets and project briefs.
Email: contact@durgaanalytics.com • For enterprise: contact@durgaanalytics.com