The bank accepts 80 Character and 1464 byte files. You can set the EFT format on Financial-Cards-EFT file format.
Input File Formats: RBC Standard (STD) File Format & Specifications. CPA005 File Format & Specifications. RBC – ACH File Format & Specifications. How it works - ACH Software enabling you to easily create and transmit ACH/NACHA. Canadian EFT. Create 1464 and 80 byte files. Create an EFT File Now!
- Barbara Garrett
- 2 years ago
- Views:
Transcription
1 This file layout is used to submit credit or debit payments for disbursement and collection to/from an account at any financial institution in Canada. File Structure Record Type Record Requirement Use H Header Record Mandatory 1 D Detail Record Mandatory =>0 T Trailer Record Mandatory 1 Notes: 1. The Header Record determines if the file is all Credits or all Debits. Block Length 80 characters Record Length 80 characters File Structure The first record of a file must be Record Type H and the last record of a file must be Record Type T. Include Carriage Return and Line Feed at the end of each record (including Header, Detail and Trailer Records). Multiple Files (tape and transmission) A maximum of 18 files can be sent in one transmission for the same Originator ID. The next file must start with Record Type H and immediately follow the T Record of the previous file. No spaces between files. Sorting TD does not sort payments all payments will be printed on your reports in the same order as they were submitted on your file. Dating of Payments Payments with differing due dates may be submitted on the same file, subject to lead time and settlement requirements. Credit Payments may be dated 30 calendar days prior to (stale-dated) current day or 35 calendar days after current date (future dated). Debit Payments may be dated 173 calendar days prior to current date (stale-dated) or 35 calendar days after current date (future dated). Types A = Alpha Characters (always left justified in the field with following spaces). AN = Alphanumeric Characters (always left justified in the field with following spaces). N = Numeric Characters (always right justified in the field with leading zeros).
2
3 Record Type: H - Header Record Requirement: Mandatory Use: 1 (per logical file) Purpose: The EFT Header record provides TD with file identification and control information. Notes: All payments in this file are either CREDITS or DEBITS determined by Payment Type ( #3). No. Character Position Size Format Content A Record Type Always H for Header Record. Must be uppercase AN Originator ID Number Provided by TD Bank, must be uppercase AN Payment Type C for credit, must be uppercase. All payments in this file are CREDITS only. D for debit, must be uppercase. All payments in this file are DEBITS only AN CPA code Canadian Payment Association payment code list. See CPA Code list for values in this guide N Payment Due Date (DDMMYY) credits - the date that you want the funds deposited into the payee s account debits - the date that you want to withdraw the funds from the payor s account format is DDMMYY example: January 31, 1999 is formatted as Year 2000 example: January 31, 2000 is formatted as AN Originator Short Name your company name, shortened into a field length of 15 characters if you are a Service Bureau or a Processing Agent, the name of the payment s originator (your client s name) must be entered here this name is passed to the receiving financial institution and may appear on the payor/payee financial institution account statement N Financial Institution ID/Transit Number for returned payments AN Account Number for returned payments Must be 0004 for TD followed by your 5 digit branch transit number. Example: must be a TD Commercial account number where dishonoured payments will be returned 11 digits followed by 1 space N File Creation Number use 0001 for the first production file submitted and increment by one for every subsequent file for each Originator ID Number TD will reject any file with a used file creation number within the last 18 submitted files to safeguard against the same file being processed twice After using 9999, roll over to 0001
4 AN Filler always spaces Never use 0000 for a file creation number
5 Record Type: D - Detail Record Requirement: Mandatory Use: >0 Purpose: The EFT Detail provides information required to credit or debit funds to/from a bank account. The credit or debit indicator is located on the Header record. Notes: 1. s defined as AN (alphanumeric) will be left justified and space filled 2. s defined as N (numeric) will be right justified and zero filled 3. Amount fields are unsigned no (+) or (-) indicators 4. Decimal point is not accepted in numeric fields Character For- Content No. Position Size mat A Record Type Always D for Detail Record. Must be uppercase AN Payor/Payee Name The name of the person/company being debited or credited N Payment Due Date credits - the date that you want the funds (DDMMYY) deposited into the payee s account debits - the date that you want to withdraw the funds from the payor s account if this date is left blank, the date will default to the Due Date recorded on Record Type H field 5. format is DDMMYY example: January 31, 1999 is formatted as Year 2000 example: January 31, 2000 is formatted as Payments with differing due dates may be submitted on the same file, subject to lead time and settlement requirements. Credit payments may be dated 30 calendar days prior to current date (stale dated) or 35 calendar days after current date (future dated) Debit payments may be dated 173 calendar days prior to current date (staledated) or 35 calendar days after current date (future dated).
6 Record Type: D - Detail Record (Continued) No. Character Position Size Format Content AN Originator Reference Number N Financial Institution ID and Transit Number AN Payor/Payee Account Number your internal reference number enables you to identify the payment to your internal records appears on TD s Input Edit and Trace Listing report for your reference the payment routing number of the payor/payee s financial institution the first digit is a constant zero, the next 3 digits are the institution number, and the last 5 digits are the branch transit number Financial Institution and branch transit numbers are obtained from the payee s voided cheque. A sample cheque is included in this guide. obtained from the payor/payee s voided cheque must be left justified followed by spaces embedded dashes and spaces are acceptable - but not necessary TD may reject any payment that does not conform to CPA published account number validation requirements N Payment Amount value must be greater than zero Example: $1, is entered as Example: $1, is entered as
7 Record Type: T - Trailer Record Requirement: Mandatory Use: 1 Purpose: The EFT Trailer Record provides TD with balancing and control information. Notes: 5. s defined as AN (alphanumeric) will be left justified and space filled 6. s defined as N (numeric) will be right justified and zero filled 7. Amount fields are unsigned no (+) or (-) indicators 8. Decimal point is not accepted in numeric fields No. Character Position Size Format Content A Record Type Always T for Trailer Record. Must be uppercase N Total Number of the accumulated number (record count) of Payments all D detail type records in the file. Example: 167 detail records are entered as N Total Value of Payments AN Filler always spaces Accumulated value of all the amount fields on the D detail records in this file. Example: $1,234, accumulated amount is entered as
CANADIAN PAYMENTS ASSOCIATION ASSOCIATION CANADIENNE DES PAIEMENTS STANDARD 005 STANDARDS FOR THE EXCHANGE OF FINANCIAL DATA ON AFT FILES
CANADIAN PAYMENTS ASSOCIATION ASSOCIATION CANADIENNE DES PAIEMENTS STANDARD 005 STANDARDS FOR THE EXCHANGE OF FINANCIAL DATA ON AFT FILES 2014 CANADIAN PAYMENTS ASSOCIATION 2014 ASSOCIATION CANADIENNE
More informationUser Guide Electronic Funds Transfer (EF T) Service
User Guide Electronic Funds Transfer (EF T) Service Contents What You Need to Know About ATB s EFT Service 4 Funding EFT Files 4 1.Liquidity Limit 4 2.Exchange Funding 5 Limits 5 1.File Limits 6 2.Limits
More informationGenerate Electronic Payments in Accounts Payable
Generate Electronic Payments in Accounts Payable IMPORTANT NOTICE This document and the Sage 300 Construction and Real Estate software may be used only in accordance with the Sage 300 Construction and
More informationCorporate Online. Import format for Payment Processing Service files
Corporate Online Import format for Payment Processing Service files Payment Processing Service file specification About Corporate Online Westpac Corporate Online is an internet-based electronic platform,
More informationCANADIAN PAYMENTS ASSOCIATION ASSOCIATION CANADIENNE DES PAIEMENTS RULE F1 RULES APPLICABLE TO AUTOMATED FUNDS TRANSFER (AFT) TRANSACTIONS
CANADIAN PAYMENTS ASSOCIATION ASSOCIATION CANADIENNE DES PAIEMENTS RULE F1 RULES APPLICABLE TO AUTOMATED FUNDS TRANSFER (AFT) TRANSACTIONS 2015 CANADIAN PAYMENTS ASSOCIATION 2015 ASSOCIATION CANADIENNE
More informationAFN-AccountsPayableEFTGuide-120506
120506 2006 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including photocopying, recording, storage
More informationForm ONRR-2014 Reporting Instructions ASCII Format
A. Format Requirements All record fields must comply with the following requirements: 1. The file name must end with a.txt extension. 2. All lines are 170 character fixed length plus a carriage return
More informationTECHNICAL SPECIFICATIONS GUIDE CANADA SAVINGS BONDS. csb.gc.ca PAYROLL SAVINGS PROGRAM 20$ 40$ 80$ 50 $ 30$ TECHGUIDE-14
7 TECHNICAL SPECIFICATIONS GUIDE CANADA SAVINGS BONDS PAYROLL SAVINGS PROGRAM csb.gc.ca 40 5 30 0 20 80 70 0 What are you saving for? 50 40 20 0 80 4 20 7 7 TECHGUIDE-4 TECHNICAL SPECIFICATIONS GUIDE For
More informationBusinesses: Payment by Cheque
Businesses: Payment by Cheque As Canada s digital economy evolves, many Canadian businesses are examining their payment processes, considering the transition from paper to electronic payments. The efficiencies,
More informationImplementation Guide for. Direct Filing of. Telecommunications Returns
Illinois Department of Revenue Implementation Guide for Direct Filing of Telecommunications Returns July 2014 Overview We encourage all taxpayers to file electronically. Illinois business taxpayers can
More informationELECTRONIC FUNDS TRANSFER GUIDE
ELECTRONIC FUNDS TRANSFER GUIDE ACH CREDIT METHOD Included inside is an application form and instructions. INTRODUCTION Job Service North Dakota (JSND) has developed a program to accept Unemployment Insurance
More informationTreasury Management. Automated Clearing House (ACH) File Specifications PPD, CCD, CCD+ Entries
Treasury Management Automated Clearing House (ACH) File Specifications PPD, CCD, CCD+ Entries These formats apply to both PPDs (Prearranged Payment and Deposit Entry type transactions) and also CCDs (Cash
More informationCANADIAN PAYMENTS ASSOCIATION ASSOCIATION CANADIENNE DES PAIEMENTS RULE E3 RULES APPLICABLE TO ELECTRONIC DATA INTERCHANGE TRANSACTIONS
CANADIAN PAYMENTS ASSOCIATION ASSOCIATION CANADIENNE DES PAIEMENTS RULE E3 RULES APPLICABLE TO ELECTRONIC DATA INTERCHANGE TRANSACTIONS 2014 CANADIAN PAYMENTS ASSOCIATION 2014 ASSOCIATION CANADIENNE DES
More informationAccounting. EFT Direct User Guide
Accounting EFT Direct User Guide Sage 50 EFT Direct User Guide Before You Start 1 Hardware and Software Requirements 1 Make Arrangements with Your Bank 1 Getting Help 2 The Manuals 2 Online Help 2 Installing
More informationEFT 2012 GETTinG STarTEd GuidE
EFT Getting Started Guide 2012 EFT Direct for Sage Simply Accounting User Guide Before You Start...1 Hardware and Software Requirements...1 Make Arrangements with Your Bank...2 Getting Help...2 The Manuals...2
More informationNACHA FORMAT. Record Title Record Type Code File Header Record - This record includes your company name and
NACHA FORMAT ACH Input File Structure The NACHA format is composed of 94 character records. All records and fields are required, except the record 7 - Entry Detail that is optional. Title File Header -
More informationAFN-StudentBillingEFTGuide-040904
040904 2004 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including photocopying, recording, storage
More informationBank Reconciliation Import BR-1005
Bank Reconciliation Import BR-1005 Overview This Extended Solution to the standard MAS 90 MAS 200 Bank Reconciliation module imports a text file and validates cleared checks against the Bank Reconciliation
More informationElectronic Funds Transfer
West Virginia State Tax Department Electronic Funds Transfer Program Information Guide Revised: July, 2015 WV/EFT-4 Table of Contents General Information...3 Mandatory E-Pay/E-file...3 z Business Taxpayers...
More informationThis guide does not provide instructions for paying via direct deposit (currently not available).
EFT Payments In this guided practice, you will learn how to: set up EFT payment accounts, make a payment using EFT, and review EFT payment history. This guide does not provide instructions for paying via
More informationACCOUNTS PAYABLE SETUP
ACCOUNTS PAYABLE SETUP Mortgage Computer Ogden, Utah Contents - Updated September 9, 2013 General Ledger Setup... 4 Bank Accounts... 6 ScrolEx Setup... 10 General Ledger 3 General Ledger Setup This selection
More informationCashManager OnLine Positive Pay Set-Up Information
CashManager OnLine Positive Pay Set-Up Information Branch Banking and Trust Company, Member FDIC. Only deposit products are FDIC insured. 2015, Branch Banking and Trust Company. All rights reserved. Revised:
More informationEFT Overview Guide for Australia and New Zealand
EFT Overview Guide for Australia and New Zealand 111109 2009 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical,
More informationSection VIII: ACH Payment Processing
Section VIII: ACH Payment Processing Contents About ACH Payments... 2 About the Automated Clearing House... 2 ACH Terms and Features... 2 Workflow Example: ACH Payroll Application... 4 To Add a Database...
More informationPlastic Card Claims Automation Specifications Document
Plastic Card Claims Automation Specifications Document Version: 1.3 Last modified: April 28, 2009 The Plastic Card Policy is underwritten by CUMIS Insurance Society, Inc., a member of the CUNA Mutual Group.
More informationNew York State Specifications for Electronic Bulk Payments of Fiduciary Income and Estimated Tax
New York State Department of Taxation and Finance Publication 90-B 01/2012 New York State Specifications for Electronic Bulk Payments of Fiduciary Income and Estimated Tax Tax Year 2011 1 P age Table of
More informationAccounts Payable Version 6.1 Release Notes
Applied Solutions Inc. PO Box 1075 Gold Hill OR 97525 USA 541-855-9891 Voice support@app-sol.com Support Email Accounts Payable Version 6.1 Release Notes Highlights Multiple User Defined Payment types:
More informationBusiness Online Transaction Import & Export (Download) File Formats REFERENCE DOCUMENT
Business Online Transaction Import & Export (Download) File Formats REFERENCE DOCUMENT Table of Contents Introduction... 3 Import (Payments)... 3 Export/Download... 3 Import Formats... 4 Deskbank Import
More informationCAFT is a user-friendly web-based application that allows you to apply one-time or recurring Automated Funds Transfer (AFT) transactions
CAFT is a user-friendly web-based application that allows you to apply one-time or recurring Automated Funds Transfer (AFT) transactions Whether you need to pay employees and suppliers or collect payments
More information1.1. Overview... 5 1.2. Direct credits... 6 1.3. Direct debits... 9 1.4. Nab direct credits... 12
1.1. Overview... 5 1.2. Direct credits... 6 1.3. Direct debits... 9 1.4. Nab direct credits... 12 2.1. Overview... 16 2.2. Credit card transaction... 17 2.3. Credit card response... 20 3.1. Overview...
More informationPre-Authorized Debit
Pre-Authorized Debit Pre-Authorized Debit is an agreement between two parties that allows one party to debit funds via the Canadian Electronic Funds Transfer Network directly from another party s bank
More informationBetalingsservice, Automatic card payment and payment slips Guidelines for Data Suppliers
Betalingsservice, Automatic card payment and payment slips Guidelines for Data Suppliers Data Delivery 0602 Payment Information General June 2015 Nets A/S Lautrupbjerg 10 DK-2750 Ballerup Telephone +45
More informationTREASURY MANAGEMENT. User Guide. ACH NACHA File Format Returns and Notice of Change (NOC)
TREASURY MANAGEMENT User Guide ACH NACHA File Format Returns and Notice of Change (NOC) Table of Contents NACHA File Format Origination 2 General Information 2 Sample NACHA Formatted Return / NOC File
More informationCash Management Balance Reporting Specifications Version 2. Technical Reference Manual
Cash Management Balance Reporting Specifications Version 2 Technical Reference Manual 10/2005 Printed in the United States of America Copyright 2005 by BAI, Chicago, Illinois All rights reserved. No part
More informationAutomated Clearing House Services NACHA File Format Specifications User Guide
Automated Clearing House Services NACHA File Format Specifications User Guide 00-35-4577NSB CNFIDENTIAL INFRATIN This guide contains proprietary and confidential information of Bank of America and was
More informationMICHIGAN SECRETARY OF STATE ELECTRONIC INSURANCE VERIFICATION (EIV) TRANSMISSION OPTIONS AND FILE FORMAT GUIDELINES
MICHIGAN SECRETARY OF STATE ELECTRONIC INSURANCE VERIFICATION (EIV) TRANSMISSION OPTIONS AND FILE FORMAT GUIDELINES Rev. 12/22/2011 Term Compression CRLF DEG DEG Mailbox Delimiter EIV EIV User Worksheet
More informationLivestock Office Payments: Creditor Cashbook Transactions
Livestock Office Payments: Creditor Cashbook Transactions 18/06/2015 Contents Paying Creditors - Find Creditors Due for Payment... 2 Payment Due Report... 2 Creditors Aged Trial Balance... 3 Processing
More informationRevision Date: April 10, 2003
STATE OF OKLAHOMA - OFFIE OF STATE FINANE MIS LAIMS REORD LAYOUT Page: 1 Vendor File Processing: Revision Date: April 10, 2003 For a payment to be made, the vendor must be set-up in PeopleSoft. Each vendor
More informationPayment Options for Commercial Customers
1 Payment Options for Commercial Customers Choice is good especially when it comes to how you receive and pay your bills. That s why Con Edison offers you billing and payment options that are fast, convenient,
More informationOnce you are logged in to Online Banking Cash Management, you will be directed to the Online Banking main page.
Online ACH Once you are logged in to Online Banking Cash Management, you will be directed to the Online Banking main page. Click on the ACH tab to navigate between ACH functions. This will direct you to
More informationNAB Connect Consolidated File Format Specifications
NAB Connect Consolidated File Format Specifications November 2015 1 Introduction... 3 1.1 Document Purpose... 3 1.2 Important Notice... 3 2 Account Information... 4 2.1 Functional Description... 4 2.2
More informationLocal Property Tax 3 rd Party Cash Payment Service Providers. Local Property Tax
Local Property Tax 3 rd Party Payment Service Provider Specification January 2013 1 Contents Introduction... 3 Data Capture... 3 Validation... 4 Data Storage... 4 Data Transmission... 4 Data Format...
More informationCash Management User Guide
Cash Management User Guide Version 9.0 February 2006 Document Number CBUG-90UW-01 Lawson Enterprise Financial Management Legal Notices Lawson does not warrant the content of this document or the results
More informationChange Form Add Payment Methods
Change Form Add Payment Methods BC OnLine Account Name BC OnLine Account Number / Userid I hereby authorize and request the use of Pre-Authorized Debits (as defined in the Agreement) from my financial
More informationBank Account 1 September 2015
Chapter 8 Training Notes Bank Account 1 September 2015 BANK ACCOUNTS Bank Accounts, or Bank Records, are typically setup in PrintBoss after the application is installed and provide options to work with
More informationMPCB E-Banking CORPORATE USER MANUAL
MPCB E-Banking CORPORATE USER MANUAL - 1 - LOGIN TO MPCB E-BANKING o How do I access to MPCB E-Banking? Connect to our MPCB Website: www.mpcb.mu Upon click on Corporate Sign-in, MPCB E-Banking login page
More informationSetup procedures for EFT Processing
Setup procedures for EFT Processing North American Banks V5.4 to V2014 Last updated V1.63 01/03/2010 EFT Options... 9 A/P Options... 9 A/R Options... 10 E-mail... 11 Options... 12 Canadian CIBC Bank...
More informationCANADIAN PAYMENTS ASSOCIATION ASSOCIATION CANADIENNE DES PAIEMENTS RULE G12
CANADIAN PAYMENTS ASSOCIATION ASSOCIATION CANADIENNE DES PAIEMENTS RULE G12 PROCEDURES FOR PUBLIC WORKS AND GOVERNMENT SERVICES CANADA (PWGSC) DIRECT DEPOSIT PAYMENT ITEMS 2012 CANADIAN PAYMENTS ASSOCIATION
More informationANZ TRANSACTIVE FILE FORMATS WEB ONLY 07.2013. Page 1 of 118
ANZ TRANSACTIVE FILE FORMATS WEB ONLY 07.2013 Page 1 of 118 ANZ Transactive and ANZ Transactive - Mobile are provided by Australia and New Zealand Banking Group Limited (ACN 005 357 522). References to
More informationSummer Update. Texas Educational Opportunity Grant. Grants and Special Programs Texas Higher Education Coordinating Board
Texas Educational Opportunity Grant Summer Update Grants and Special Programs Texas Higher Education Coordinating Board TEOG@thecb.state.tx.us Outside Austin: 800/242-3062 options 3, 3 Austin Metro: 512/427-6340
More informationInternet Banking for Business
INTERNET BANKING FOR BUSINESS Information you need to know about importing transaction files into Internet Banking for Business For more info bnz.co.nz Internet Banking for Business. This guide provides
More informationInternational ACH Transactions (IAT) File Format Guide
U.S Bank created this IAT file format guide to be used as a supplemental tool to the format listed in the NACHA rules. Organizations can use this to help make changes in their system to prepare for the
More informationChapter 7. Banner Introduction... 7-3. Menu Navigation Tables... 7-4. Automated Clearing House Forms... 7-5
Chapter 7 Automated Clearing House Banner Introduction......... 7-3 7 Automated Clearing House Standards. 7-3 National Automated Clearing House Association Standards. 7-3 Canadian Payment Association Standards..........
More informationCheque Management Service. Customer User Guide
Cheque Management Service Customer User Guide Contents 3 Getting Started with ATB s Cheque Management Service 3 Critical Value 3 Default Decision 4 Encoding Errors 4 Errors under $20.00 4 Errors over $20.00
More informationData Export Specification for Trade File and Closing Price File in Central Trade Feed Format
Data Export Specification for Trade File and Closing Price File in Central Trade Feed Format Version: [2.0] Date: 16 September 2015 Prepared by: HKEx Hong Kong Exchanges and Clearing Ltd. Page: 2 of 8
More informationACH CREDIT Payment Information
Electronic Services 915 SW Harrison St. Topeka, KS 66612-1588 Nick Jordan, Secretary Steve Stotts, Director of Taxation phone: 785-296-6993 fax: 785-525-3901 www.webtax.org Sam Brownback, Governor Attn:
More informationACH CREDIT File Format for UI Payments TYPE CCD
ACH CREDIT File Format for UI Payments TYPE CCD The format below outlines the data layout for ACH Credit payment. The file meets the CCD file formats outlined in the 2004 ACH Rules handbook and includes
More informationEFT Electronic Funds Transfer Client Manual
Electronic Funds Transfer Client Manual Use of DirectLine for Business is subject to applicable agreements. DirectLine is a registered trade-mark of Bank of Montreal. Other brands and names used herein
More informationCF2/MQ Transmission Guides. 14.15 FAST Direct Deposits/Withdrawal At Custodian via CF2 (CF2DWX): User s Guide
CF2/MQ Transmission Guides 14.15 FAST Direct Deposits/Withdrawal At Custodian via CF2 (CF2DWX): User s Guide The Depository Trust Company October 2015 Copyright Copyright Copyright 2015 by The Depository
More informationDemystifying ACH Payments to Canada
Demystifying ACH Payments to Canada NACHA Payments 2008 May 18 21, 2008 Elizabeth McQuerry Assistant V.P., Retail Payments Office Federal Reserve Doug Kreviazuk V.P., Policy & Research Canadian Payments
More informationCF2/MQ Transmission Guides. 5.23 Fed Funds Settlement / Settling Bank Balances (FFSBST): Function User s Guide
CF2/MQ Transmission Guides 5.23 Fed Funds Settlement / Settling Bank Balances (FFSBST): Function User s Guide The Depository Trust Company July 2014 Copyright Copyright Copyright 2014 by The Depository
More informationFINANCIAL INFORMATION SYSTEM. Managing Cash Receipts
FINANCIAL INFORMATION SYSTEM Managing Cash Receipts August 2007 Agenda Definition of Cash Receipts Responsibility for Processing Processing Departments Maintaining Cash Security Making Timely Deposit General
More informationHUNTINGTON BUSINESS SECURITY SUITE USER GUIDE
HUNTINGTON BUSINESS SECURITY SUITE USER GUIDE CONTENTS WELCOME 3 SECTION 1: GETTING STARTED LOGGING IN 5 SECTION 2: ACH POSITIVE PAY OVERVIEW 7 FILTERS 8 MANAGING EXCEPTIONS 11 WAREHOUSE 14 APPROVALS 15
More informationSwitch S EKit UNION NION UNION CREDIT S E N T R Y CREDIT SENTRY CREDIT UNION
E N T R Y R E D I T NION S E N T R Y CREDIT UNION E N T R Y S E N T R Y R E D I T CREDIT NIONUNION Switch S EKit N T R Y E N T R Y R E D I T NION CREDIT UNION E N T R Y S E N T R Y R E D I T CREDIT 715-346-6534/877-368-7928
More informationMILLENNIUM BANK TO SWITCH ANY AUTOMATIC PAYMENTS SO THEY LL COME OUT OF YOUR NEW MILLENNIUM BANK ACCOUNT.
SWITCH TO MILLENNIUM BANK.. WE LL MAKE IT EASY, EVERY STEP OF THE WAY. 1. SET UP YOUR NEW ACCOUNT FILL OUT OUR NEW ACCOUNT INFORMATION AND WE LL HAVE EVERYTHING WE NEED TO ESTABLISH YOUR NEW ACCOUNT. 2.
More informationMediClear Operator Guide Version 3.0
MediClear Operator Guide Version 3.0 Contents INTRODUCTION 2 A. GETTING STARTED 3 THE MEDICLEAR NETWORK 3 YOUR MEDICLEAR TERMINAL 4 IMPORTANT NOTES 5 Patient payments 5 Credit cards 5 Optional fields 5
More informationVirginia Department of Taxation. Electronic Payment Guide
Virginia Department of Taxation Electronic Payment Guide Rev. 03/17/2015 Table of Contents Overview of Electronic Payment Options... 3 Electronic Payment Requirements... 3 Filing Requirements ACH Credit
More informationThe Commonwealth of Massachusetts Department of Revenue Child Support Enforcement Division
The Commonwealth of Massachusetts Department of Revenue Child Support Enforcement Division ELECTRONIC FUNDS TRANSFER (EFT) & ELECTRONIC DATA INTERCHANGE (EDI) INFORMATION FOR EMPLOYERS Thank you for your
More informationVersion 10 ACCOUNTS PAYABLE
Version 10 ACCOUNTS PAYABLE Accounts Payable Manual Version 10 ACCOUNTS PAYABLE ACCOUNTS RECEIVABLE BILLING CONTROL FILES FIXED ASSETS GENERAL LEDGER INVENTORY PAYROLL PERSONNEL ii N/Compass Hotline -
More informationGuide to Handling Direct Deposit
PAYROLL CS DIRECT DEPOSIT Guide to Handling Direct Deposit version 2009.x.x TL20765 (7/10/09) Copyright Information Text copyright 1998 2009 by Thomson Reuters/Tax & Accounting. All rights reserved. Video
More informationContents. 4 Welcome to ATBOnline Business. 5 How to Use This Guide
Contents 4 Welcome to ATBOnline Business 5 How to Use This Guide 6 Roles and Entitlements in ATBOnline Business 6 Administrator Role 6 User Roles 6 Transaction Limits 7 User Procedures 7 Accessing ATBOnline
More informationANNEXURE - I. Back-office Interfaces
ANNEXURE - I Back-office Interfaces I. Corporate Action Master Export Utility Input criteria The following two options would be available to extract this master information. 1. Full Export: In this case,
More informationUser's manual for OTPdirekt Internet Banking. v.1.0
User's manual for OTPdirekt Internet Banking v.1.0 1 Contents General... 4 Log in... 4 Logging out... 4 Home page... 5 Accounts... 5 Accounts - Overview of movements... 6 Accounts - OTPdirekt transactions...
More informationEmployer Long Term Care Insurance (LTCi) Program Suggested Payroll and Billing Process
Employer Long Term Care Insurance (LTCi) Program Suggested Payroll and Billing Process Prepared by Genworth Account Manager Genworth Group Operations Leader Rhonda Todd 804-484-3993 Patrick Guzik 804-922-5477
More informationHealth Savings Account Contribution Guide Version 7.0
Health Savings Account Contribution Guide Version 7.0 Page 1 Introduction... 3 Getting started... 3 Step 1 Sign up for the Account Number File (ANF)... 3 Step 2 Select a contribution method... 4 Step 3
More informationThe Automated Earnings Reporting System Submitting your payroll data online
INTEGRITY OPERATIONS Submitting your payroll data online This document can be made available in alternative formats such as Braille, large print, audio cassette, CD, DAISY, and computer diskette. Call
More informationMaine Revenue Services
Maine Revenue Services Electronic File Specifications for Form W-2 Tax Year 2015 (Wages paid from 1-1-2015 to 12-31-2015) REVISED September 30, 2015 Contents Introduction 3 Submitting W-2 Files 3 RS Record
More informationNEBRASKA FILE FORMAT FOR EMPLOYERS
NEBRASKA FILE FORMAT FOR EMPLOYERS Electronic Funds Transfer (EFT) / Electronic Data Interchange (EDI) Transactions 1. Your company transmits the payment and remittance information to your financial institution.
More informationSIMPLE SWITCH KIT. We Make the Switch Simple
SIMPLE SWITCH KIT We Make the Switch Simple 5 Simple Steps To Switch Your Account The Process: 1 Open your Wells Bank account Visit your local branch and a Personal Banking Representative will answer any
More informationNACHA Return Codes. The available and/or cash reserve balance is not sufficient to cover the dollar value of the debit entry.
NACHA Return Codes R01 Insufficient Funds The available and/or cash reserve balance is not sufficient to cover the dollar value of the debit entry. R02 Account Closed A previously active account has been
More informationVendor@Gov E-Invoice Interface File Layout Version 4.93
Vendor@Gov E-Invoice Interface File Layout Version 4.93 Page 1 of 12 1. INTRODUCTION The e-invoice batch submission interface provides vendors with high invoice submission volume with a fast and convenient
More informationRecurring Payments. Navigate to: Accounts Payable>File Maintenance/Lists>Recurring Payments
Recurring Payments Overview Recurring payments can be created for payments that should be generated on a user-defined periodic basis. Recurring payments are typically set up for payments that are a fixed
More informationANSI X12 version 4010 864 Text Message
ANSI X12 version 4010 864 Text Message VERSION: 1.0 FINAL Author: Superior Essex Publication Date: 08/22/00 Trading Partner: All Partners 864 All Partners 4010 Inbound.rtf 1 Superior Essex 864 Text Message
More informationACH Services & Payments
ACH Services & Payments itreasury Module User Guide It s time to expect more. Regions Bank 032013 Member FDIC 1 Welcome to Regions itreasury Welcome to Regions itreasury online banking. The itreasury suite
More informationChapter 9. Learning Objectives. Define internal control. Objective 1. Internal Control and Cash
PowerPoint to accompany Chapter 9 Internal Control and Cash Learning Objectives 1. Define internal control 2. Describe good internal control procedures 3. Prepare a bank reconciliation and the related
More informationVirginia Department of Taxation Specifications for Web Upload Server to Server Processing for Virginia Department of Taxation Forms
Virginia Department of Taxation Specifications for Web Upload Server to Server Processing for Virginia Department of Taxation Forms Rev. 07/14 TABLE OF CONTENTS Purpose... 3 Filing Reminders and Changes...
More informationEFT Overview Guide for Canada
EFT Overview Guide for Canada 051812 2012 Blackbaud, Inc. This publication, or any part thereof, may not be reproduced or transmitted in any form or by any means, electronic, or mechanical, including photocopying,
More informationFile Specification and Guide to the Returns of Payment Transactions by Payment Settlers (Merchant Acquirers)
File Specification and Guide to the Returns of Payment Transactions by Payment Settlers (Merchant Acquirers) Information Management Planning Division Revenue Commissioners Email: 3rdpartyreturns@revenue.ie
More information850 Purchase Order. X12/V4030/850: 850 Purchase Order. Version: 1.0 Draft
850 Purchase Order X12/V4030/850: 850 Purchase Order Version: 1.0 Draft Author: Supplier Automation Trading Partner: Ross Stores, Inc. Notes: This is the standard guide prepared by JPMC/Xign for Merchandise
More informationA D D E N D U M NO. 1
REQUEST FOR PROPOSAL SUPPLY OF BANKING SERVICES CONTRACT NO. 12-156 A D D E N D U M NO. 1 The following shall form part of the tender documents issued by the City of Guelph s Purchasing Department, September,
More informationUser Manual. Firm Bank Manager (includes instructions for employees and firms) U.S Network of Virtual Enterprises Bank. for
U.S Network of Virtual Enterprises Bank User Manual for Firm Bank Manager (includes instructions for employees and firms) US Network Bank User Manual Bank Manager Page 1 of 8 FOR FIRM BANK MANAGER LOGIN
More informationFederal Reserve Adoption of DSTU X9.37-2003. Image Cash Letter Customer Documentation. Version 1.8 October 1, 2008
Federal Reserve Adoption of DSTU X9.37-2003 Image Cash Letter Customer Documentation Version 1.8 October 1, 2008 Document Revision History Release Number Description of Change(s) 1.1 July 1, 2004 Image
More informationElectronic Funds Transfer (EFT) Payment Guide
Government of the District of Columbia Office of the Chief Financial Officer Office of Tax and Revenue Vincent C. Gray Mayor Natwar M. Gandhi Chief Financial Officer Stephen Cordi Deputy Chief Financial
More informationAnnuity Full Surrender Request
Annuity Full Surrender Request Annuities are issued by Pruco Life Insurance Company, in New York, by Pruco Life Insurance Company of New Jersey and The Prudential Insurance Company of America (PICA) (these
Cibc Eft 80 Byte File Layout Specifications
More informationGlossary of Accounting Terms
Glossary of Accounting Terms Account - Something to which transactions are assigned. Accounts in MYOB are in one of eight categories: Asset Liability Equity Income Cost of sales Expense Other income Other
More informationCHAPTER 2 INBOUND RECORDS TO MSP 2.1 TELEPLAN INBOUND RECORDS OVERVIEW. 2.1.1 Inbound Record Types. 2.1.2 Online Eligibility Requests
Eft 80 Byte File Layout
CHAPTER 2 INBOUND RECORDS TO MSP 2. TELEPLAN INBOUND RECORDS OVERVIEW This chapter identifies the (ASCII) Teleplan record structure needed for medical office software to supply data that is to be transmitted
More informationSPECIAL PAYMENT METHODS
FYI-401 New Mexico Taxation and Revenue Department FOR YOUR INFORMATION Tax Information/Policy Office P.O. Box 630 Santa Fe, New Mexico 87504-0630 SPECIAL PAYMENT METHODS New Mexico requires its largest
More informationA Guide for Employers. Electronic Funds Transfer / Electronic Data Interchange (EFT / EDI) With the
A Guide for Employers Electronic Funds Transfer / Electronic Data Interchange (EFT / EDI) With the Mississippi Department of Human Services Division of Field Operations Child Support August 2015 Notes
More informationState of Iowa Department of Human Services Employers Partnering In Child Support 501 Sycamore Street, Suite 500 Waterloo, IA 50703-4651
Introduction Electronic Funds Transfer (EFT) / Electronic Data Information (EDI) Transactions INFORMATION FOR EMPLOYERS Electronic Funds Transfer (EFT) / Electronic Data Information (EDI) allows employers
More informationElectronic Funds Transfer (EFT) Payment Guide
Government of the District of Columbia Office of the Chief Financial Officer Office of Tax and Revenue 2015 Electronic Funds Transfer (EFT) Payment Guide Bank Information for Payments TXP and Addenda Record
More information