Defining bank account details for ACH file creation
- Select .
- Open the bank account to set up the creation details for the Automated Clearing House (ACH) file.
- Specify the information that applies based on the bank's specifications:
-
Include Prenotes
-
Select this check box to include prenotes in the ACH file.
-
Create Label Records
-
Select this check box to include header and trailer labels in the ACH file.
-
Include Balanced Offset Debit Entry
-
Select this check box to include a balanced offset debit entry in the ACH file. The debit amount is the total of all the credit entries in the ACH file.
-
Entry Detail Records Per Batch
-
Specify the number of entries to include in each ACH file. Each ACH file contains at least one batch of batch entries, which includes a batch header and batch control record. The default number of entries per batch is 99.
-
Batch Service Class Code
-
Select the service class code. The default setting uses 200 or 220 based on a balanced option. The enhanced setting uses 200, 220, and 225 based on the entries in the batch.
-
Company Discretionary Data
-
If your company uses Company Specific Data, specify an alphanumeric value in this field. By default, this value is left empty.
- Click Save.