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  1. On the Portfolio Reporting page, from the Reporting Area drop-down list, select ACH.
  2. From the Report Occurrence drop-down list, make sure Daily is selected.
  3. From the Report drop-down list, select Consumer ACH Outgoing Transactions.

    The page refreshes and the Consumer ACH Outgoing Transactions filter criteria become available.

  4. From the Start Date and End Date fields, click the calendar icon and select the start and end dates for the days you want report on.
  5. Select the Bank Number(s) to include in the report.

    Note: To select multiple bank numbers, press and hold Ctrl, and then click the bank numbers you want.

  6. Provide the following optional information:
  7. Click Generate Report.

    If data for the selected criteria are available, the Summary Report opens.

  8. Select a Merchant Number to drill down to the Detail Report, listing the individual transactions for that merchant.

    Note: You can customize the data you want to view. For more information, refer to Customizing Reports.