ScotiaConnect Integrated Payments Recipient Management Quick Reference Guide

Size: px
Start display at page:

Download "ScotiaConnect Integrated Payments Recipient Management Quick Reference Guide"

Transcription

1 ScotiaConnect Integrated Payments Recipient Management Quick Reference Guide Table of Contents ScotiaConnect Recipients... 2 Creating Recipients... 2 Importing Recipients... 2 Creating a recipient import file... 3 Uploading the import file into ScotiaConnect... 5 Payment History... 6 For Further Assistance... 9 Version 2.1

2 ScotiaConnect Recipients Recipients in ScotiaConnect are used to store a payee s banking information, such as their transit number, institution code and account number. By adding your payees as a Recipient you will not need to add this information every time you create a payment. Creating Recipients To begin creating recipients go to Payments, Integrated Payments and select Manage Recipients. Recipients can be added manually or imported from a comma separated value file (CSV). To manually add a recipient, click the Create Recipient button: Enter all the information for your recipient, click continue, and then save when complete. Once the recipient information has been entered, the recipient may need to be approved depending on your entitlements. If an approval is required, the recipient will be in Entered status, otherwise it will be in Ready status: To approve a recipient, a user with approval authority will need to log in, click the checkbox next to each recipient, and then select Approve under the action column. Once approved, the recipient(s) will be in Ready status. Only recipients in Ready status can be used for creating payments. Recipients can be modified or deleted anytime by returning to the Manage Recipients tab and performing a search. Importing Recipients - 2 -

3 To import recipients using an existing comma separated value file, be sure to follow the import file specifications which are available in Appendix A. To complete the import, you must open the recipients maintenance tab as shown earlier in this guide, and then proceed to the Import Recipients section near the bottom of the page. Browse to your file and then select the Import Recipients button to continue. You will be prompted to confirm the import. After the import is complete, ScotiaConnect will display a confirmation message. To view a summary of the imported items, see the import summary from the ScotiaConnect Message Centre. Creating a recipient import file Once you have entered all your recipients, you can import an Excel file to create payments using the recipient information already stored in ScotiaConnect. This means your Excel file does not need to contain any banking information. The file fills in the variables such as date and amount in order to finalize payment creation. About the File: - 3 -

4 The header names must match the names shown in the sample below The Excel worksheet containing the payments must be named SDImport The Excel workbook must be saved in Excel 2003 format (.xls extension) Variable fields are amount and recipient ID and (maybe) due date and (maybe) customer sundry information The agreement number, CPA code and Sundry fields must be fixed. To do this, please format the cells in Excel as text to ensure leading zeros are not truncated. Note that some fields are left blank as these items are already stored in your recipient list. You must leave these fields in the file and leave them blank otherwise there will be issues with those payments (see screen shot below). o Column F: InstitutionCode o Column G: Transit o Column H: Account o Column I: PayeeName Tip: We suggest creating a blank Excel template to be used as a starting point when creating your payments file. This will ensure that fields will remain correctly formatted when adding payments. Column A: The File Agreement ID is the service group agreement number. The agreement number can be found at the bottom of the service group (note the preceeding SD or EO must not be included in your file): Column B: Whether the payment is a debit or a credit (D/C) Column C: The CPA Code for the payment (EFT) or Transaction Type Code (EDI/ACH) Column D: Amount Column E: The payment due date Column J: The PayeeRef field is the recipient ID that will be used to match the banking information from your recipient list. This ID must match an existing ID or the import will fail. This is also the payment number that will be used when sending the payment. Column K: Sundry is an optional field that is used for EFT payments

5 Uploading the import file into ScotiaConnect To load the file into ScotiaConnect, we recommend using the File Delivery service available within ScotiaConnect. To access File Delivery, go to Services, File Delivery and select Upload Files. Select the Agreement ID (starts with JO) and then select the Trancode PMTXLS. Next, browse to your Excel file. Note you can upload up to five files at a time from this page. Once the file is selected, click the Upload button to proceed. After the import is complete, your payments will be available in ScotiaConnect. To view the payments in the file, proceed to the File Summary tab within Integrated Payments. Next, select the Service Group and/or File ID. You can leave these as is if you want to broaden your search results or if you are unsure of what to enter. You will need to select the date that the file was imported into ScotiaConnect. Select Search to continue

6 To open the list of the payments within the file, you can select the File ID. Depending on your entitlements, you may need to have the payments approved before they can be submitted. Only payments in Ready status can be submitted for processing. You can also approve and submit payments from the file summary screen. Simply click the checkbox next to the File ID and select approve or submit from the action menu. Note you can also delete, disable and enable the payments in the file from this menu. Payment History Once the payments have been submitted you can view the status by opening the Search tab from within Integrated Payments. Enter your search criteria and then select Search to display the results on your screen, Report to display the results in a file based on your report preference, or Export to download the results into a data file. Note you must also populate the Export Information section near the bottom of the screen

7 - 7 -

8 Appendix A Recipient Import File Specification Note the field names must be included in the header row of your file. All fields are separated by a comma

9 For Further Assistance Need Help? On any ScotiaConnect page, you will find a Need Help? link. Clicking that link will provide targeted help topics relevant to the page you re currently viewing. Online Customer Support Select the Help option at the top right of your browser to open our Online Customer Support knowledge base. A new window will be displayed where you can enter your question. Tutorial Videos The Tutorial Video link at the top right of your screen will open the Online Resource Centre with videos, documents and more to help you find answers to your questions regarding Scotiabank s products and services. Global Business Payments Technical Helpdesk- Monday through Friday, 8:00 a.m. to 8:00 p.m. ET Toll-free number within North America Local Toronto area customers (800) pour le service en français hd.ccebs@scotiabank.com. Your will be answered within business hours. To book product training, please send an to gtb.training@scotiabank.com - 9 -

ScotiaConnect Traces & Recalls Quick Reference Guide

ScotiaConnect Traces & Recalls Quick Reference Guide ScotiaConnect Traces & Recalls Quick Reference Guide Table of Contents Before You Begin... 2 Recalling a Single Payment... 3 Recalling a Group of Payments... 5 Recalling an Entire File... 6 Recall History...

More information

Integrated Payments: Online Creation Quick Reference Guide

Integrated Payments: Online Creation Quick Reference Guide Integrated Payments: Online Creation Quick Reference Guide Table of Contents Creating Templates... 2 Creating Payments from Templates... 5 Approving or Modifying Payments... 6 Payments Search... 8 Wire

More information

ScotiaConnect Group Administration Quick Reference Guide

ScotiaConnect Group Administration Quick Reference Guide ScotiaConnect Group Administration Quick Reference Guide Table of Contents Creating & Modifying User Groups... 2 Service Approvals... 3 Creating/Modifying a Service Group... 4 Assigning a Service Group...

More information

Integrated Payments: EDI Payments Fields

Integrated Payments: EDI Payments Fields Integrated Payments: EDI Payments Fields Table of Contents Creating a One Time EDI Payment... 2 For Further Assistance... 5 Version 2.0 Creating a One Time EDI Payment See next page for a definition of

More information

Electronic Cheque Services Quick Reference Guide

Electronic Cheque Services Quick Reference Guide Electronic Cheque Services Quick Reference Guide Table of Contents Exceptions... 2 Searches... 4 Returning Paid Items (Negative Pay), Voiding, Deleting... 6 Reports... 7 For Further Assistance... 8 Version

More information

ScotiaConnect Alerts

ScotiaConnect Alerts ScotiaConnect Alerts Table of Contents Introduction... 2 Setting Up Alert Entitlements for Users... 2 Setting up Alerts... 3 Approving Alerts... 6 Sample Email Notification... 7 For Further Assistance...

More information

Welcome Guide Quick Reference

Welcome Guide Quick Reference Welcome Guide Quick Reference Table of Contents Welcome Guide... 2 Your ScotiaConnect Service... 3 Assign Payments to Accounts... 3 Approval Levels per Payment... 4 Add User... 4 Customizable Home Page

More information

ScotiaConnect Registration Quick Reference Guide

ScotiaConnect Registration Quick Reference Guide ScotiaConnect Registration Quick Reference Guide Table of Contents Physical Token Registration... 2 Digital Token Registration... 4 For Further Assistance... 8 Version 2.0 ScotiaConnect supports two different

More information

Self- Serve Options Quick Reference Guide

Self- Serve Options Quick Reference Guide Self- Serve Options Quick Reference Guide Table of Contents Introduction... 2 ScotiaConnect User Management... 2 Requesting New Users/Super Users... 2 Resetting Passwords/30 Day Registration Expiry...

More information

Remote Deposit Quick Reference Guide

Remote Deposit Quick Reference Guide Remote Deposit Quick Reference Guide Table of Contents Creating Deposits... 2 View Items... 4 Reporting... 5 Deposit Statuses... 7 For Further Assistance... 9 Version 1.0 Creating Deposits Please note

More information

Electronic Cheque Services Administration Quick Reference

Electronic Cheque Services Administration Quick Reference Electronic Cheque Services Administration Quick Reference Table of Contents Creating a New User...2 Modifying Existing Users...4 Resetting Passwords...6 For Further Assistance...7 Version 1.0 Creating

More information

Integrated Payments - Payment/Cross Reference Number - Quick Reference Guide

Integrated Payments - Payment/Cross Reference Number - Quick Reference Guide Integrated Payments - Payment/Cross Reference Number - Quick Reference Guide September 2015 Effective September 13 th, 2015, Integrated Payments templates will be enhanced to include and save Payment/Cross

More information

ScotiaConnect Wire Payments Managing Service Groups for Integrated Payments

ScotiaConnect Wire Payments Managing Service Groups for Integrated Payments Post-Migration Guide 1 of 2 ScotiaConnect Wire Payments Managing Service Groups for Integrated Payments Table of Contents Overview... 2 Step 1 - Modifying Service Group Entitlements for Wire Payments...

More information

Wholesale Lockbox Quick Reference Guide: Administration

Wholesale Lockbox Quick Reference Guide: Administration Wholesale Lockbox Quick Reference Guide: Administration Table of Contents Adding Users... 2 Modifying Users... 3 Resetting Passwords... 5 Changing Your Password... 6 Deleting a User... 6 Contact Us...

More information

Wholesale Lockbox Quick Reference Guide: Alerts & Exceptions

Wholesale Lockbox Quick Reference Guide: Alerts & Exceptions Wholesale Lockbox Quick Reference Guide: Alerts & Exceptions Table of Contents Adding Alerts... 2 Modifying Alerts... 3 Viewing Alerts... 4 Exceptions... 5 Exception Types... 6 For Further Assistance...

More information

Business e-banking Wires User Guide

Business e-banking Wires User Guide User Guide Business e-banking User Guide Tables of Contents Entering a One Time Wire Transfer 2 Deleting a Wire Transfer 5 Add Wire Template...8 Wire Money via Templates...12 Wire Money via Multiple Templates.....15

More information

ESL ACH Origination User Guide

ESL ACH Origination User Guide accounts and make payments to your vendors. Refer to this User Guide for instructions on how to use this service. Creating a Template Managing Templates o Searching for a template o Filtering a template

More information

Job Aid. Enter bid Using XML Upload Functionality

Job Aid. Enter bid Using XML Upload Functionality Enter bid Using XML Upload Functionality Scenario: You need to respond to a bid using the XML upload functionality. The XML functionality allows your responses to be transferred automatically from an Excel

More information

Importing Career Standards Benchmark Scores

Importing Career Standards Benchmark Scores Importing Career Standards Benchmark Scores The Career Standards Benchmark assessments that are reported on the PIMS Student Fact Template for Career Standards Benchmarks can be imported en masse using

More information

Quick Reference: Returned Funds Report. Returned Funds Report Overview. Running a Returned Funds Report

Quick Reference: Returned Funds Report. Returned Funds Report Overview. Running a Returned Funds Report Returned Funds Report Overview The Returned Funds reporting process allows you to generate and view reports on returned funds activities tied to transactions and batches that meet specified criteria. You

More information

KeyNavigator Book Transfer

KeyNavigator Book Transfer Created (10/2018) KeyNavigator Book Transfer User Guide Table of Contents 1. Introduction to Book Transfer... 3 Overview... 3 Features... 3 Navigation... 3 Transfer Processing Timing... 4 2. User-Level

More information

Bulk Interac e-transfers User Guide. User Guide Bulk Interac e-transfers 1

Bulk Interac e-transfers User Guide. User Guide Bulk Interac e-transfers 1 Bulk Interac e-transfers User Guide User Guide Bulk Interac e-transfers 1 Overview This document provides information and instructions for Bulk Interac e-transfer service. Bulk Interac e-transfer service

More information

inistrator s Guide BUSINESS SERVICES by Gesa Credit Union

inistrator s Guide BUSINESS SERVICES by Gesa Credit Union ACH Ad Gesa@Work inistrator s Guide BUSINESS SERVICES by Gesa Credit Union Gesa@Work ACH Administrator s Guide Overview Introduction to ACH With Gesa s online banking service, Gesa@Work, your company will

More information

Easthampton Savings Bank Online Business Banking User Guide

Easthampton Savings Bank Online Business Banking User Guide Easthampton Savings Bank Online Business Banking User Guide Page 1 of 100 Table of Contents SECURITY...6 PASSWORD TAB FUNCTIONALITY...6 SECURE DELIVERY TAB FUNCTIONALITY...9 CHALLENGE CODE TAB FUNCTIONALITY...10

More information

Accessing ACH payments

Accessing ACH payments We are in the process of making some very exciting enhancements to your online banking to help you run your business better, every day. In the near future you will be migrated from the current (KBO) platform

More information

Creating International Wire Transfer Payments Reference Guide

Creating International Wire Transfer Payments Reference Guide Creating International Wire Transfer Payments Reference Guide Table of Contents Creating and Working with International Wire Transfers 3 Overview 3 Creating a Freeform Payment or Template 3 Approving or

More information

Revised (10/17) ACH User Guide

Revised (10/17) ACH User Guide Revised (10/17) ACH User Guide Table of Contents Page 1. KeyNavigator ACH 1 1.1 Payment Management 2 1.2 Creating Payments 6 1.3 Templates 10 1.4 Reporting 14 2. User Maintenance 17 3. Role Maintenance

More information

SFSP Meal Count Batch File Format & Upload Instructions. Web-based Illinois Nutrition System (WINS)

SFSP Meal Count Batch File Format & Upload Instructions. Web-based Illinois Nutrition System (WINS) SFSP Meal Count Batch File Format & Upload Instructions Web-based Illinois Nutrition System (WINS) May 2014 Illinois State Board of Education Funding & Disbursement Services WINS File Format Layouts This

More information

Business Bill Pay User Guide

Business Bill Pay User Guide Business Bill Pay User Guide Convenience doesn t just happen 9 to 5, it works overtime. Business Bill Pay is designed to help small businesses manage their bills and account information. This user guide

More information

ATBONLINE BUSINESS. Customer User Guide Cheque Management Solution

ATBONLINE BUSINESS. Customer User Guide Cheque Management Solution ATBONLINE BUSINESS Customer User Guide Cheque Management Solution CONTENTS What You Need to Know about Cheque Management... 1 Optional Features... 1 Critical Value... 1 Negative Pay... 1 Default Decision...

More information

User Guide #PeopleFirst

User Guide #PeopleFirst ADVANCED BUSINESS ONLINE BANKING User Guide #PeopleFirst TABLE OF CONTENTS LOGIN Login Instructions 3 ACCOUNT BALANCES AND TRANSACTION DETAILS Balance Snapshot 4 Important Account Balances 4 Recent Transactions

More information

Business Online Banking User Guide

Business Online Banking User Guide Business Online Banking User Guide Table of Contents Contents Overview... 2 Logging In... 2 Additional Login Information... 5 Home/Dashboard... 6 Top Line Tool Bar... 6 Bulletins... 7 Dashboard... 8 Accounts...

More information

How to Use efilemyforms.com

How to Use efilemyforms.com How to Use efilemyforms.com Technical Support Phone: (866) 598-1217 Fax: (800) 526-1040 Technical Support Hours Normal Hours February 1 - January 5 Monday - Friday, 7am - 5pm PST via Phone and LiveChat

More information

Importing Local Contacts from Thunderbird

Importing Local Contacts from Thunderbird 1 Importing Local Contacts from Thunderbird Step 1, Export Contacts from Thunderbird In Thunderbird, select Address Book. In the Address Book, click on Personal Address Book and then select Export from

More information

Business Online TM. Positive Pay - Adding Issued Items. Quick Reference Guide

Business Online TM. Positive Pay - Adding Issued Items. Quick Reference Guide Business Online TM Positive Pay - Adding Issued Items Quick Reference Guide Positive Pay Adding Issued Items Manually or Using Templates Positive Pay is a risk management solution that provides the ability

More information

First Financial Bank Transaction Management System User Guide

First Financial Bank Transaction Management System User Guide First Financial Bank Transaction Management System User Guide Please note: The options available to you in the Transaction Management System (TMS) depend upon your product configuration. This modular approach

More information

ebilling Training g g For the Vendor

ebilling Training g g For the Vendor ebilling Training g g For the Vendor All Users Log In 1. Click Cc the LAUNCH APPLICATION buo button. 2. Enter your User ID and Password 3. Click the LOGIN button. 4. If you do not have a User ID please

More information

Intellix Payments Reference Guide

Intellix Payments Reference Guide Intellix Payments Reference Guide Table of Contents Overview 3 Accessing Payment Functionality 3 About this Guide and Additional Training 3 Using List Functionality in Intellix Payments 4 Overview 4 Standard

More information

Reporting User Guide. Account Summary Widget

Reporting User Guide. Account Summary Widget Reporting User Guide Account Summary Widget The Account Summary widget appears on the Balance and Transaction workspace. It lists the balances of the accounts that you have permission to see. You can also

More information

ezbusiness Credit Card Management User s Guide

ezbusiness Credit Card Management User s Guide ezbusiness Credit Card Management User s Guide This document provides an overview of the different options available within your Internet-based ezbusiness Card Management website. TABLE OF CONTENTS (click

More information

2. Click File and then select Import from the menu above the toolbar. 3. From the Import window click the Create File to Import button:

2. Click File and then select Import from the menu above the toolbar. 3. From the Import window click the Create File to Import button: Totality 4 Import How to Import data into Totality 4. Totality 4 will allow you to import data from an Excel spreadsheet or CSV (comma separated values). You must have Microsoft Excel installed in order

More information

Tutorial 1 - Setting up your first process

Tutorial 1 - Setting up your first process Version 8.2 SolveXia Pty Ltd AUTOMATE ACTIVATE ACCELERATE CONTENTS INTRODUCTION... 3 CASE STUDY... 4 SOLUTION... 4 ILLUSTRATION OF STEPS IN PROCESS... 5 A LOGIN TO THE SYSTEM... 6 A.1 SCREEN LAYOUT...

More information

The One Net ACH. User Guide. January 2005

The One Net ACH. User Guide. January 2005 The One Net ACH User Guide SM January 2005 The One Net ACH User Guide may not, in whole or in part, be copied, photocopied, translated, or reduced to any electronic medium or machine readable form or otherwise

More information

Online Banking Commercial User s Guide UUX/Treasury Release 4.11

Online Banking Commercial User s Guide UUX/Treasury Release 4.11 Online Banking Commercial User s Guide UUX/Treasury Release 4.11 www.enterprisebank.com OVERVIEW In this user guide, we will cover the commercial online banking features. We will show how to manage users

More information

Payments & Transfers User Guide

Payments & Transfers User Guide Payments & Transfers User Guide Table of Contents Payee Maintenance...1 ACH Payments...4. Batch Creation...4 Creating a Manual Batch...4 Transaction Import...6 Templates & Recurring Payments... 7 Wire

More information

N Touch Treasury ACH User Guide

N Touch Treasury ACH User Guide N Touch Treasury ACH User Guide Revised 12-15-17 TreasurySupport@NTouchBanking.com (833) 846-2699 ACH Within Payments > ACH, you can create ACH payments and templates, import layouts, view templates, ACH

More information

CentralNET Business ACH USER GUIDE

CentralNET Business ACH USER GUIDE CentralNET Business ACH USER GUIDE Table of Contents Central Bank Holiday Schedules... 3 Memorandum... 3 ACH User Setup... 4 Methods of Creating your ACH... 6 Database Setup... 6 I. Creating & Editing

More information

Manual Physical Inventory Upload Created on 3/17/2017 7:37:00 AM

Manual Physical Inventory Upload Created on 3/17/2017 7:37:00 AM Created on 3/17/2017 7:37:00 AM Table of Contents... 1 Page ii Procedure After completing this topic, you will be able to manually upload physical inventory. Navigation: Microsoft Excel > New Workbook

More information

City National E Deposit SM User Guide

City National E Deposit SM User Guide City National E Deposit SM User Guide July 2016 Copyright 2016 by City National Bank Member FDIC All rights reserved. No part of this User Guide may be reproduced or transmitted in any form or by any means,

More information

User Guide for Outward Interbank GIRO (OBG) For Direct Debit (Collections)

User Guide for Outward Interbank GIRO (OBG) For Direct Debit (Collections) User Guide for Outward Interbank GIRO (OBG) For Direct Debit (Collections) No part of this document may be reproduced, stored in a retrieval system of transmitted in any form or by any means, electronic,

More information

Creating Individual Student Account(s)

Creating Individual Student Account(s) TASK: TIME FRAME: 6 weeks prior to first test administration These processes will allow you to create individual student accounts, or upload multiple student accounts. The Site Administrator should use

More information

Creating Domestic Wire Transfer Payments Reference Guide

Creating Domestic Wire Transfer Payments Reference Guide Creating Domestic Wire Transfer Payments Reference Guide Table of Contents Creating and Working with Domestic Wire Transfers 3 Overview 3 Creating a Freeform Payment or Template 3 Approving or Rejecting

More information

Detailed Conversion Steps to Transition from Business Online Banking Getting Started Business Continuity Checklist for CashManager OnLine

Detailed Conversion Steps to Transition from Business Online Banking Getting Started Business Continuity Checklist for CashManager OnLine Detailed Conversion Steps to Transition from Business Online Banking Getting Started Business Continuity Checklist for CashManager OnLine *Once logged on to CashManager OnLine, users have access to extensive

More information

ACH IMPORT. User Guide

ACH IMPORT. User Guide ACH IMPORT User Guide 1 TABLE OF CONTENTS Overview... 2 ACH Detail Screen & Cutoff Times... 3 ACH Batches: Non-NACHA Import.... 4 ACH Import: Non-NACHA Import.... 5 ACH Batch Activation: Non-NACHA & NACHA

More information

POSITIVE PAY U S E R G U I D E

POSITIVE PAY U S E R G U I D E POSITIVE PAY U S E R G U I D E Positive Pay User Guide Getting Started... 3 Administration... 3 Company Administration... 3 Manage Users... 3 Communication... 4 Manage Alerts... 5 Positive Pay Check...

More information

ATBONLINE BUSINESS. C us t o me r U s e r G ui d e Po s i tiv e Pay

ATBONLINE BUSINESS. C us t o me r U s e r G ui d e Po s i tiv e Pay ATBONLINE BUSINESS C us t o me r U s e r G ui d e Po s i tiv e Pay CONTENTS What You Need to Know about Positive Pay... 1 Optional Features...1 Critical Value...1 Negative Pay...1 Default Disposition...1

More information

ACH Origination User Guide

ACH Origination User Guide ACH Origination User Guide Page 1 of 21 ACH Payments The ACH Payment service allows you to create one-to-many ACH transfers. This will be used for clients originating ACH for direct deposit, electronic

More information

Adobe Campaign Business Practitioner Adobe Certified Expert Exam Guide. Exam number: 9A0-395

Adobe Campaign Business Practitioner Adobe Certified Expert Exam Guide. Exam number: 9A0-395 Adobe Campaign Business Practitioner Adobe Certified Expert Exam Guide Exam number: 9A0-395 Revised 08 September 2016 About Adobe Certified Expert Exams To be an Adobe Certified Expert is to demonstrate

More information

ACH File Import Guide Instructions

ACH File Import Guide Instructions ACH File Import Guide Instructions ACH File Import Feature: This allows you to import individual detail record from your computer s hard drive to ProvidentConnect for Business and into a standard NACHA

More information

UOB Offline Data Input Software (ODIS)

UOB Offline Data Input Software (ODIS) UOB Offline Data Input Software (ODIS) Version 2 Collection User Guide Date: April 2015 TABLE OF CONTENT Page 1 COLLECTION FAST/GIRO... 3 1.1 Summary Listing... 3 1.1.1 Quick Search... 3 1.1.2 Main Menu...

More information

QUALTRICS SURVEY TOOL (BlueQ 2015)

QUALTRICS SURVEY TOOL (BlueQ 2015) QUALTRICS SURVEY TOOL (BlueQ 2015) DoIT Training Course Procedures Handout Table of Contents Logging In... 4 To Create a New Survey... 4 Create a New Item... 5 Adding Text... 5 Create a New Item Options...

More information

FIRST ONLINE BUSINESS ONLINE BANKING REVISED MARCH 2017

FIRST ONLINE BUSINESS ONLINE BANKING REVISED MARCH 2017 FIRST ONLINE BUSINESS ONLINE BANKING REVISED MARCH 2017 Table of content LOG ON INSTRUCTIONS 1-6 HOME SCREEN 7 ACCOUNT GROUPINGS 8-14 ASSET SUMMARY 15-16 QUICK TRANSFER 17-18 ACCOUNT ACTIVITY 19-22 CONVERSATION

More information

Business Online Banking User Guide

Business Online Banking User Guide Business Online Banking User Guide Table of Contents 1. WELCOME!... 3 1A. TYPES OF ACTIVITIES 3 1B. GETTING STARTED 3 1C. IF YOU NEED HELP 3 2. TRANSACTION ACTIVITY... 4 2A. ACCESSING YOUR BUSINESS ACCOUNTS

More information

ebilling Training Invoicing

ebilling Training Invoicing ebilling Training Invoicing How to Search for an 1. Select or enter the appropriate service provider number (SPN) on the home screen. 2. Select the s tab. TIP: If you would like to search for an invoice

More information

Broadcast +Fax Quick Start Guide

Broadcast  +Fax Quick Start Guide Broadcast Email+Fax Quick Start Guide This guide provides information on setting up and submitting an Email broadcast job. There are 5 steps in creating your job and submitting it for distribution. The

More information

Electronic Owner s Manual User Guide

Electronic Owner s Manual User Guide Electronic Owner s Manual User Guide I. Getting Started.... 1 Logging In.... 2 Additional Information... 2 II. Searching for an Existing EOM Form... 5 III. Creating a New EOM Form.. 5 IV. Modifying an

More information

Chapter A8: Scheduled reports

Chapter A8: Scheduled reports Chapter A8: Scheduled reports This chapter is aimed at BankLink Administrators All users can set up a report schedule for a client (see Chapter A5). However, only BankLink Administrators can actually generate

More information

SPS Online Store User Tutorial

SPS Online Store User Tutorial SPS Online Store User Tutorial New Improvements 2018 The following improvements were made to the SPS Online Store based on criteria extracted from your feedback and user data. Our goal is to continue to

More information

MBTA Student Pass Program User Guide

MBTA Student Pass Program User Guide MBTA Student Pass Program User Guide MBTA Student Pass Program Service 617-222-5710 studentpassprogram@mbta.com Monday through Friday 7AM to 3PM EST 1 Table of Contents 1 Overview... 2 2 Registration...

More information

Deposit Express User Guide

Deposit Express User Guide Deposit Express User Guide 877-305-7125 ColumbiaBank.com 253-123-4567 ColumbiaBank.com Table of Contents Deposit Express Support 3 Support Contact Information 3 Hours of Support 3 Logging in to Deposit

More information

Steps in Ledger Upload and Preparation. Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007)

Steps in Ledger Upload and Preparation. Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007) Steps in Ledger Upload and Preparation Click on Add-ins > Q&A xl > Logon > Enter User ID (e.g. TBW) and click OK (Users of Office 2007) Click on Data Send For an existing profile or pre-mapped upload Click

More information

MBTA Student Pass Program - User Guide

MBTA Student Pass Program - User Guide MBTA Student Pass Program - User Guide Student Pass Customer Service 617-222-5710 studentpassprogram@mbta.com Monday through Friday 7AM to 3PM EST Table of Contents 1 Overview... 2 2 Registration... 2

More information

CEU Online System, The Friday Center for Continuing Education, UNC-Chapel Hill How to Obtain Participant IDs for Awarding of CEUs

CEU Online System, The Friday Center for Continuing Education, UNC-Chapel Hill How to Obtain Participant IDs for Awarding of CEUs The Friday Center for Continuing Education has the responsibility of approving continuing education activities for which CEUs are recorded and maintained as a permanent record for individual participants.

More information

SANTANDER TREASURY LINK USER GUIDE

SANTANDER TREASURY LINK USER GUIDE SANTANDER TREASURY LINK USER GUIDE Welcome to Santander Treasury Link Santander Treasury Link is a secure Web application that allows you to manage accounts, payments, transfers, reports, and users. This

More information

YOUR QUICK START GUIDE TO CREATING A DOMESTIC WIRE

YOUR QUICK START GUIDE TO CREATING A DOMESTIC WIRE YOUR QUICK START GUIDE TO CREATING A DOMESTIC WIRE Domestic Wire functions can be accessed through the Services g Payments menu in Intellix. Your access to different options and information within Intellix

More information

accessmoney Manager ACTION PAGES

accessmoney Manager ACTION PAGES accessmoney Manager ACTION PAGES 1 accessmoney Manager Action Pages accessmoney Manager Action Pages are quick reference pages that provide information for the major components of accessmoney Manger. Click

More information

imail W eb & Print Client Guide

imail W eb & Print Client Guide Powered by imail Web & Print Client Guide Electronic to physical next day mail Welcome imail is a complete print, production and mailing application for your general office and marketing mailings. Once

More information

Classification: Public ANZ TRANSACTIVE GLOBAL USER GUIDE

Classification: Public ANZ TRANSACTIVE GLOBAL USER GUIDE Classification: Public ANZ TRANSACTIVE GLOBAL USER GUIDE 03 2015 CONTENTS PURPOSE 3 Users in ANZ Transactive Global 4 Function Roles and Data Roles 4 GETTING STARTED IN ANZ TRANSACTIVE GLOBAL 5 ANZ Transactive

More information

ACH Processing using third party software Quick Reference Guide

ACH Processing using third party software Quick Reference Guide ACH Processing using third party software Quick Reference Guide Direct Send Feature The Direct Send feature allows customers who are using a third party software that creates their NACHA ACH file to be

More information

Online Cash Management

Online Cash Management Online Cash Management Positive Pay CONTENTS Positive Pay... 1 Introduction to Positive Pay... 1 File Layout Configuration... 2 Uploading a Check File... 4 Manual Check Entry... 5 Working Exceptions...

More information

Business Online Banking

Business Online Banking First State Community Bank Business Online Banking End User Guide Table of Contents Logging In... 3 Navigation... 5 Account Activity Options... 7 Transactions... 8 Transfers... 9 Stop Payments...10 Statements...12

More information

TrustNetWeb Business Online Banking Enrollment Instructions

TrustNetWeb Business Online Banking Enrollment Instructions TrustNetWeb Business Online Banking Enrollment Instructions We are pleased to welcome you as a customer of Trustmark! If you need assistance with your first-time login to TrustNetWeb Online Banking, please

More information

.txt - Exporting and Importing. Table of Contents

.txt - Exporting and Importing. Table of Contents .txt - Exporting and Importing Table of Contents Export... 2 Using Add Skip... 3 Delimiter... 3 Other Options... 4 Saving Templates of Options Chosen... 4 Editing Information in the lower Grid... 5 Import...

More information

Using Online Activity Center

Using Online Activity Center Using Online Activity Center Creating custom views in the Activity Center You can select up to six fields to control which data appears in the Activity Center for each transaction type. For example, a

More information

Positive Pay. Quick Start Set-up Guide

Positive Pay. Quick Start Set-up Guide Positive Pay Quick Start Set-up Guide 1-2-3 EASY STEPS TO FRAUD PROTECTION The following information will help you get up and running with Positive Pay quickly and easily. With Positive Pay, you provide

More information

ACH MANAGER Quick Reference Guide Please refer to ACH Manager User Guide for detailed instructions Rev. 04/14/2017

ACH MANAGER Quick Reference Guide Please refer to ACH Manager User Guide for detailed instructions Rev. 04/14/2017 Customer Support General Customer Service: o MidWestOne Service Center 1-800-247-4418 or 319-356-5800 o Treasury Management Phone 1-319-356-5964 o Treasury Management e-mail : tmsupport@midwestone.com

More information

User Guide for Bulk Mail Management System (BMMS)

User Guide for Bulk Mail Management System (BMMS) User Guide for Bulk Mail Management System (BMMS) Table of Content In this user guide, we first guide you through the process of creating, approving and releasing bulk mails. 1: How to Access the System

More information

FirstNet for Business

FirstNet for Business Page 1" First State Community Bank FirstNet for Business End-User Guide Page 2" Table of Contents" Logging In... 3% Changing Your Password... 4% Cash User Login Screen... 4% Navigation... 7% Account Listing

More information

BGE s Customer Consumption Data Website Guidelines

BGE s Customer Consumption Data Website Guidelines BGE s Customer Consumption Data Website Guidelines BGE s Customer Consumption Data Web (CDWeb) application provides gas and electricity suppliers, brokers, aggregators, third-party consultants and curtailment

More information

DataBar Online User Tutorial Updated September 2016

DataBar Online User Tutorial Updated September 2016 DataBar Online User Tutorial Updated September 2016 The DataBar Online tool was created to allow sellers of produce to communicate their Global Trade Item Numbers (GTINs) encoded inside of the DataBar

More information

ACH Manager. Quick Reference Guide

ACH Manager. Quick Reference Guide ACH Manager Quick Reference Guide Table of Contents Create a New ACH Transfer... 2 Import a NACHA Formatted File...5 Import a Non NACHA Formatted File... 7 Review ACH Transfers... 10 Modify ACH Transfers...

More information

ES FINANCIALS User Training

ES FINANCIALS User Training ES FINANCIALS User Training MAKING JOURNAL ENTRIES PARTICIPANT GUIDE Date: July 2016 Page 1 of 36 Making Journal Entries Exercise 1: Creating an Online Journal including Email Notification & Attachments...

More information

Quick start guide

Quick start guide December 2016 Velocity@ocbc Quick start guide Help & Support Download the FAQs at www.ocbc.com.my/velocity2 You can also refer to the full User Guide, which can be downloaded from the help icon at the

More information

Creating and Updating DCT Teacher Lists

Creating and Updating DCT Teacher Lists Creating and Updating DCT Teacher Lists Teachscape s Data Collection Tool makes it easy for administrators to create and maintain teacher lists following the instructions below. All changes will appear

More information

Online Banking Wire Transfer Enrollment

Online Banking Wire Transfer Enrollment Online Banking Wire Transfer Enrollment Revised 9/2016 Page 1 Overview Wire Transfers (also referred to as Wire Transfer Payments) are a trusted instrument for transferring funds quickly and conveniently

More information

Concord Print2Fax. Complete User Guide. Table of Contents. Version 3.0. Concord Technologies

Concord Print2Fax. Complete User Guide. Table of Contents. Version 3.0. Concord Technologies Concord Print2Fax Complete User Guide Table of Contents Version 3.0 Concord Technologies 2018 1 Concord Technologies concordfax.com premiumsupport@concordfax.com Copyright 2017 CONCORD Technologies. All

More information

User Guide for Payroll Service (APS+)

User Guide for Payroll Service (APS+) User Guide for Payroll Service (APS+) - Payment by File Upload - Payment by Preset Template No part of this document may be reproduced, stored in a retrieval system of transmitted in any form or by any

More information

Quick start guide

Quick start guide November 2018 Velocity@ocbc Quick start guide Help & Support Click here for General FAQs You can also refer to the full User Guide, which can be downloaded from the Help icon at the top right corner of

More information

Mobile Forms Integrator

Mobile Forms Integrator Mobile Forms Integrator Introduction Mobile Forms Integrator allows you to connect the ProntoForms service (www.prontoforms.com) with your accounting or management software. If your system can import a

More information

QUICK REFERENCE GUIDE

QUICK REFERENCE GUIDE BANKOH BUSINESS CONNECTIONS 3.0 QUICK REFERENCE GUIDE Account Administration User Maintenance A System Administrator will have permission to create Users and grant User permissions based on company entitlements..

More information