Change log of the integration package 'SAP Broker Reconciliation for Commodity Derivatives Integration with Other Systems for Broker Statement Upload 3.0.3 (25th March 2025) Script Collection - Changed the Grant Type from Password to Client Credentials. 3.0.2 (3rd April 2024) Updated Integration Flows: - Parse and Import Clearing Broker Statement File - Parse and Import Trading Broker Statement File - Send E-mail Notifications for Statement Upload Integration Flow Errors 3.0.1 (9th January 2024) Script Collection - Update Jar file to exclude fee related changes for Open-Position and LongShort Matching sections.Added validations to prevent user input of fee data in the Open-Position and LongShort Matching sections. 3.0.0 (18th December 2023) Script Collection: - Update JAR file to include parsing changes for fee and currency fields. 2.1.0 (3rd August 2023) Script Collection: - Update JAR file to include credit/Debit fields for statement import 1.0.0 (14th February 2023) First version delivered: Integration Flows: - Generate Access Token for SAP Broker Reconciliation for Commodity Derivatives - Scan Input File Using Malware Service - Parse and Import Clearing Broker Statement File - Parse and Import Trading Broker Statement File - Send E-mail Notifications for Statement Upload Integration Flow Errors Script Collection: - Script Collection for Statement Upload