Customer Portal Send Feedback Print

Previous Topic

Next Topic

Book Contents

Processing External Transfers and Payments

When the financial institution does its ACH processing for the day, external transfers and payments will appear in their own batches along with the external account verification batches.

These batches can be treated like any other batch and sent through the ACH system. When the batches are included in an ACH file from the Cash Extracts screen, they are confirmed and will show up in the transfer reports.

25600

See Also

Adding a New External Account as an Employee

View/Edit Details as an Employee

Deleting an External Account

Rejecting an External Account

Verifying External Accounts Using Manual Method

Verifying External Accounts Using Deposit Challenge Method

Transfer and Payment Reports

Top of Page Customer Portal Send Feedback Print