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Step-by-Setp Guide
Navigate to the Bank Account Master (Master Table -> Miscellaneous -> Bank Accounts) | |
Make sure the check box for "Canadian Bank is checked | |
Navigate to the ACH Settings tab and fill in the bank info |
Mapping
Record A
Field | Example | Description |
---|---|---|
Origin Number | Field 3 - User's number |
Record C
Field | Example | Description |
---|---|---|
Origin Name | Field 11 - Abbreviated user's name | |
Origin Name | Field 13 - User's name | |
Origin Number | Field 14 - User's number | |
Destination Number | Field 15 - Transaction reference number | |
Routing Number | Field 16 - User's institution | |
Account Number | Field 17 - Return account number | |
Entry Description | Field 18 - User's general info |
Record Z
Field | Example | Description |
---|---|---|
Origin Number | Field 3 - Control number |
Misc
View file | ||||
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