The ACH Reconciliation Daily Interchange report lists transactions for which interchange fees have been calculated and deducted as part of daily ACH processing. Use this report for balancing the ACH totals.
The Automated Clearing House is a computer-based clearing and settlement service for the interchange of electronic debits and credits among financial institutions.
The page refreshes and the ACH Reconciliation filter criteria become available.
Some date fields in this application offer calendars that allow you to select the date to enter in the date field. When a calendar is available, the calendar icon is present. Click the calendar icon to open the calendar. In the calendar, use the outer arrows to switch between years, and the inner arrows to switch between months. Click a date to insert the date into the date field.
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Note: To select multiple bank numbers, press and hold Ctrl, and then click the bank numbers you want.
The six-digit number that indicates the association to which a merchant belongs.
Note: You can search for an association ID number. For more information, refer to Searching for data entities.
A number assigned by TSYS that identifies the merchant.
Note: You can search for a merchant ID number. For more information, refer to Searching for data entities.
The four-character number that identifies the type of transaction on the system.
If data for the selected criteria are available, the report appears.
Note: You can customize the data you want to view. For more information, refer to Customizing Reports.
The ACH Reconciliation Daily Interchange report includes the following data:
A row in a report that indicates one or more categories by which data in the report is grouped.
The number that identifies the bank.
A number assigned by TSYS that identifies the merchant.
The merchant DBA (Doing Business As) name.
The six-digit number that indicates the association to which a merchant belongs.
The Demand Deposit Account (DDA) number used for the application of transactions.
The ACH transaction code. Possible values are as follows:
The four-character number that identifies the type of transaction on the system.
Depending on the report displayed, this can indicate one of the following: