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IBM Data and AI Ideas Portal for Customers


This portal is to open public enhancement requests against products and services offered by the IBM Data & AI organization. To view all of your ideas submitted to IBM, create and manage groups of Ideas, or create an idea explicitly set to be either visible by all (public) or visible only to you and IBM (private), use the IBM Unified Ideas Portal (https://ideas.ibm.com).


Shape the future of IBM!

We invite you to shape the future of IBM, including product roadmaps, by submitting ideas that matter to you the most. Here's how it works:


Search existing ideas

Start by searching and reviewing ideas and requests to enhance a product or service. Take a look at ideas others have posted, and add a comment, vote, or subscribe to updates on them if they matter to you. If you can't find what you are looking for,


Post your ideas

Post ideas and requests to enhance a product or service. Take a look at ideas others have posted and upvote them if they matter to you,

  1. Post an idea

  2. Upvote ideas that matter most to you

  3. Get feedback from the IBM team to refine your idea


Specific links you will want to bookmark for future use

Welcome to the IBM Ideas Portal (https://www.ibm.com/ideas) - Use this site to find out additional information and details about the IBM Ideas process and statuses.

IBM Unified Ideas Portal (https://ideas.ibm.com) - Use this site to view all of your ideas, create new ideas for any IBM product, or search for ideas across all of IBM.

ideasibm@us.ibm.com - Use this email to suggest enhancements to the Ideas process or request help from IBM for submitting your Ideas.

IBM Employees should enter Ideas at https://ideas.ibm.com


ADD A NEW IDEA

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Extend the functionality of the Business Day Category

Even though the application allows business days to be opened for multiple categories, the functionality was not implemented completely. For example, there is no option to make the business day current independently for each category. It makes the...
14 days ago in Financial Transaction Manager  / Check 0 Submitted

Outbound Transmissions Page - Please add filter option for "Transmission Definition" column.

Currently in FTM 3.0.5.4 and 3.0.5.5, on the Outbound Transmission page, the Transmission Definition column is not filterable. Several of the other columns are. The Transmission Definition column should be added to the filter options.
3 months ago in Financial Transaction Manager  / Check 0 Submitted

Save off openshift logs when a POD is recycled or crashes.

When an OPENSHIFT POD is either recycled or if a POD crashes the log conatined within the POD is lost. Even though there are 3rd party options to save the log(s) we believe IBM should make it part of their deployment to have the logs saved off. Th...
4 months ago in Financial Transaction Manager  / Check 0 Submitted

OpenShift Secrets can be viewed as clear text on pods

Credentials setup as OpenShift secrets are readable in clear text on pods, e.g. /startup/variables on Gateway/BR/Transaction pods, /opt/ibm/wlp/usr/servers/defaultServer/variables/ on liberty pods, and /secrets/db2instancepwd/ on database pods. We...
about 1 year ago in Financial Transaction Manager  / Check 0

Need a solution for Outgoing IP address from OpenShift Cluster Node

Per our PMR Case number TS016159590 We are installing the containerized version of Connect Direct in our OpenShift environment. When we set up the NETMAP on any remote server, we use the IP address of the OpenShift node just as we always have done...
6 months ago in Financial Transaction Manager  / Check 0 Submitted

Mark an item to go to balancing function after payment repair is completed

Provide an ability to mark/identify an item in payment repair, so that the batch that contains the marked item will go to TCR, even though the batch is in balance. Right now, the user changes the amount to all 9999999999 in payment repair to force...
7 months ago in Financial Transaction Manager  / Check 1 Under review

Provide ability to update the extended MICR fields in the user interface

Provide the ability to update the extended MICR fields 9 thru 15 in the Payment repair and TCR functions. A use case can be to accept the currency denomination type (US or Canadian) for the items with Canadian routing numbers (RT format 5-3).
7 months ago in Financial Transaction Manager  / Check 0 Under review

Ensure that FTM for Check user interface works in conjunction with AppDynamics monitoring

AppDynamics is the recommended monitoring tool used at Citibank. However, when we enable AppDynamics on the FTM JVMs, we get exceptions while loading some of the pages in the FTM UI. To overcome this issue, we have disabled AppDynamics monitoring ...
7 months ago in Financial Transaction Manager  / Check 0 Under review

Enhance logging to include any user access to specific items during review, repair and dup review.

any time a user accesses an item for review, repair or duplicate detect we have a need to have this logged and a record of what item was accessed.
8 months ago in Financial Transaction Manager  / Check 0 Under review

DSU Needs a Home

Currently, in v4.0.5.1, , it is provided as "extras" in the artifacts pod with no methodology to apply/deploy via OpenShift.
10 months ago in Financial Transaction Manager  / Check 0 Under review