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Activation

Company
Selection The Company
Selection consists of two sections, the Select Fields/Find Button line and the
Company Selection List. The
Find/Refresh Button Line -
These fields are used when you have a long list of companies and you wish to search
for a specific company. The Code field accepts up to 12 characters, and the Name
field accepts up to 40 characters. The
Company Selection List - This
select box contains the ACH companies that have been defined for your company.
Each line in the list displays the Code and Name of a single company. 
Batch
Selection Batch
Selection consists of two sections, Select Fields/Find Button line and the Batch
Selection List.
The
Find/Refresh Button Line -
These fields are used when you have a long list of batches and you wish to search
for a specific batch. The Code field accepts up to 10 characters, and the Name
field accepts up to 40 characters. Click the Find/Refresh button. The
Batch Selection List - This
select box contains the batches that have been defined via the Batch Maintenance
service. Each line in the list displays the Code and Name of a single batch established
for the selected company. From this list, select the batch you wish to activate.

Batch
Activation Area After
you have specified the batch to activate, you are in the Batch Activation Area.
This area is located at the bottom of the screen and contains fields of information
in the batch.
Prior to
activating the batch, you must specify the Effective Entry Date for this batch.
This is the date the batch's transactions will be settled at the receiving bank.
The date must be entered in MM/DD/YYYY format. The
Descriptive Date is optional and to be used for your internal reference. This
field is to be filled prior to activation. The
Batch Activation Area Buttons - Activate
Batch - Click this button to submit this batch for approval. Once you
have clicked on the Activate Batch button, a confirmation page displays.
- Update
Entries - Click this button to update amounts and addenda for individual
transactions within the batch.
- Reset
- Click this button to return the existing batch's effective entry date and descriptive
date to the original values.

Updating
Batch Entries
Individual batch entries may
be updated by choosing the Update Entries
button from the Batch Activation Area. You may edit the amount for each entry.
Freezing One or More Batch
Entries - If you wish to exclude one or more entries from the batch, you may
freeze the entry prior to batch activation. Entries that have been frozen are
not included in the batch when it is activated. To freeze one or more entries,
simply place a check mark in the Frozen
check box. Once you have
finished updating, click the Submit
Changes & Activate Batch button. You will be presented with a Confirmation
Page, discussed in the next section. 
Confirmation
The Confirmation displays
the details about the activated batch. You can print this page and use it for
future reference. The information displayed includes:
- Your
Name
- Your Company's
Name
- Your Address
- The ACH Company ID and Name
- The Total Debit and/or
Credit Amount
- The Total
Number of Debits and/or Credits
- The
Total Number of Detail Records (entries) in the batch
- The
Date on which the batch was Accepted (activated)
- The
Effective Entry Date of the batch
- The
ACH Batch Template ID used to create this batch
- The
Customer/User who activated the batch
- The
Date/Time the batch was activated
- A
Customer Trace consisting of a four digit number that increments each time a new
batch is activated for any ACH Company assigned to your company. The Customer
Trace number begins at 0001.
- Legal
information
- An e-mail
link to Customer Service, in case you have questions
Once
you have received this confirmation message, the batch is ready for approval by
an authorized user. At this point, you may leave this service by clicking on another
Service Group and then another Service. 
ACH
Approval
ACH Approval Service
is a security feature that allows you to approve an ACH batch before it is sent
to The Exchange Bank. All ACH batches must be approved by an authorized user before
they can be sent to the Bank. You may not approve a batch if you (your
user code) activated the batch via the ACH Activation service. Approving
a batch consists of reviewing the batch information on the Pending Batches list,
then selecting the approve button. After selecting the batch to approve, an approval
screen appears. On the approval screen, you have the option to approve or skip/unlock.
Once the batch has been approved, you will receive a confirmation message
acknowledging the approval and the release of the batch to the Bank. Also provided
is a reference number that you can use in tracking. 
Pending
Batches Review This
screen displays all of the batches pending approval that you may approve. Only
those batches for which you have permission (to approve) will appear on this list.
Pending batches are displayed in order of effective date. Summary information
for each pending batch is provided on a single line.
The
Pending Transfers Review Page Buttons - Approve
- Click this button to approve the batch for release to the Bank. Once you
have clicked on the Approve
button, you will be presented with the Approval Page, discussed in the next section.
- Delete
- Click this button to delete the activated batch from the system. Once you
have clicked on the Delete
button, you will be presented with the Approval Page, but it will have a
Delete button, rather than an
Approve button. Once a batch has been deleted from the system, it will
not be seen by the Bank.
Once
you have clicked on either the Approve
or Delete buttons, the
batch is locked under your user ID. By locking the batch under your User ID, the
system prevents another user from approving or deleting this batch at the same
time. 
Approval
This screen is presented
after the approve button
is selected from the Pending Transfers Page. Details of the batch are displayed
for a final review. The company name and batch name associated with the batch
are listed along with the batch description. Other details include, text entered
in the Company Discretionary Data field, the Effective Entry Date
and Descriptive Date.
Effective
Entry Date versus Descriptive Date - Effective
Entry Date - This is the date on which the transactions will be settled at
the receiving bank.
- Descriptive
Date - This is the date that you wish to display to the participant or receiver
of the batch and file. This date is optional and is entered when the batch is
activated.
The
Approval Page Buttons - Approve
- Click this button to approve the batch for release to the Bank. Once you
have approved the batch, you are presented with a Confirmation Page.
- Skip/Unlock
- If you decide not to approve the displayed batch, click the skip/unlock
button to release the batch. If you choose to Skip, the batch remains on the system
with a pending status and is still not seen by the Bank.

Confirmation
The Confirmation Page
displays all the details about the batch. You can print this page and use it for
future reference. The information displayed includes:
- Your
Name
- Your Company's Name
- Your Address
- The
ACH Company Name associated with this batch
- The
Total Debit Amount of this batch
- The
total number of debits in this batch
- The
total number of detail records in this batch
- The
Customer/User who activated the batch into the system
- The
Customer/User who approved the batch for release to the Bank
- A
system response, showing the date your batch was accepted in the system
- The Effective Entry Date indicating
the date the transactions will be settled at the receiving bank
- The
ACH Batch Template associated with this batch
- The
Total Credit Amount of this batch
- The
total number of credits in this batch
- The
Credit Bank to which you are sending money
- The
Activation Date/Time that the batch was activated in the system
- The
Approval Date/Time that the batch was approved
- A
sequential company-wide reference number
- A
system-wide reference number consisting of Julian Date and unique sequence number
- Legal information
- A
blue underlined e-mail link to Customer Service, in case you have questions
Once
you have received this confirmation message, you can be assured that the Bank
has or will receive your batch to process. At this point, you may select the Continue
button to acknowledge the confirmation. Next, you may select another service within
this system or Logout of the system.
ACH
Reversals
ACH
ReportsACH Report lets you review
ACH transactions generated through this system. To generate a report, you must
filter the information to display by entering selection criteria through the Data
Selection Page. You may specify such criteria as batch, dates, state, trace number,
and sort order. The report is presented in a horizontal format, and separated
by either the processing date or effective entry date depending on your selection.
You may print the report to save a paper copy for future reference. 
Data
Selection The Data
Selection Page provides you with many options for filtering and formatting the
data to display on the report. You may use any or all options, alone or in combination.

Preferences
The Preferences Page
allows you to set the default values for some Data Selection criteria. You may
set and change these values at any time. The report characteristics supported
on the Preferences Page include: - Type
- Summary or Detail. Summary will provide only a description of the item and
an amount. Detail will provide all reported information for all filtered items.
- Style - Table or Raw.
A Table report is a presentation-quality report. The Raw report resembles a dot
matrix printer report, which may be more familiar to some users.
- Sort
- This determines how information is sorted in the report.
- Totals
- This determines whether the balance and summary total items for all accounts
displayed are added together and displayed. These totals are useful for getting
a fast view of your overall position. You may select among displaying no totals,
only totals or show totals combined with the individual items.
The
Preferences Page Buttons

ACH
Report Report displays
the ACH batches specified through the Data Selection. You may print the report
to save it for future reference. It consists of two sections, the header and data
area. The report header
contains: - Your company's
name
- The name of the
report, ACH Report
- The
date and time you displayed the report
- The
File Trace Number
- The
date and time the batch was created
- The
name of the Customer to whom this batch belongs
- The
File Size
The
data area of the report is divided by Bank trace number, unless you specified
Customer trace number, company Id, or effective entry date in the Sort
selection list. Within each Bank trace number section the transfers are sorted
by trace number/processing date unless you specified amount, settlement
date, or customer reference. The
batch summary consists of: - Bank
Number
- Company Name and
associated Company ID
- Batch
Name
- Transaction Type
- Total Debit Amount
- Total
Credit Amount
- Number
of Entries
- Effective
Entry Date, the date on which the recipient of the batch will/did post the transactions

Batch
Detail Batch Detail
is a report generated by clicking on the detail icon from the Batch Summary Report.
This report displays the transactions contained in this batch. The batch name
associated with the batch is listed along with the Transaction Type, Effective
Entry Date, Bank and Customer trace numbers. Effective
Entry Date. This is the date that the receiving bank will settle the batch
transactions.  |  |