Lockbox Setup
Overview ........................................... ...............................1
Introduction ....................................... ..................................... 1
Understanding the Layout of the Lockbox List....... ............ 1
Adding a Lockbox ................................... ............................... 3
Copying Lockbox Setup Information .................. ................. 4
Displaying Lockboxes by Lockbox Type............... .............. 5
Locating a Lockbox on the Lockbox List............. ................ 5
Locating a Lockbox Using the Global Search Feature. ...............6
Using the Import/Export Lockbox Setup Utility...... ............. 7
Using the Import Lockbox Setup Utility ............. ..........................7
Understanding the Bank Tab ....................................................................... 8
Understanding the Lockbox Tab .................................................................. 9
Import Options ....................................................................................... 9
Using the Export Lockbox Setup Utility ............. ........................10
Understanding the Bank Tab ..................................................................... 11
Understanding the Lockbox Tab ................................................................ 12
Export Options..................................................................................... 12
Directory Tree Structure of the Export ................................................. 13
Using the Lockbox Group Connect Utility ............ ............. 13
Using the Clean Up Lockbox Modification Logs Utilit y.... 15
Understanding the Bank Tab ......................... .............................16
Understanding the Lockbox Tab ...................... ..........................17
1 General .......................................... ..............................18
Overview ........................................... .................................... 18
Understanding the Layout of the General Tab........ ...................18
Using the Lockbox Setup Activity Dates ............. .............. 20
Changing the Activate on Date ...................... .............................20
Marking a Lockbox as Inactive................................................................... 20
Changing the Delete on Date ........................ ..............................21
Marking a Lockbox as Deleted................................................................... 21
Using Additional Information ....................... ....................... 21
2 Batch ............................................ ...............................22
Overview ........................................... .................................... 22
Understanding the Layout of the Batch Tab.......... ....................22
Setting the Batch Type ............................. ........................... 23
Setting the Priority and High Amount Values........ ............ 23
Selecting a Work Group for a Lockbox ............... ............... 24
Defining the Sequence Numbering Options............ .......... 24
Setting Limits..................................... ................................... 25
Setting the Batch Limits ........................... ...................................26
Setting the Transaction Limits..................... ...............................26
Using the Balance Forces Limits Option ............. .............. 26
Setting the Sequencing Routines .................... ................... 27
Understanding the EncdSeqn window.................. .....................27
Setting the Batch Sequence Numbers ....................................................... 28
3 Deadlines ........................................ ............................29
Overview ........................................... .................................... 29
Understanding the Layout of the Deadlines Tab ...... .................30
4 Options.......................................... ..............................32
Overview ........................................... .................................... 32
Understanding the Layout of Options Tab............ .....................32
Using the CAR Option............................... ........................... 34
Using the Image Print Options...................... ...................... 34
Using the MICR Repair Options ...................... .................... 35
Specifying When to Perform MICR Repair ............. ....................36
Using the Exceptions Options ....................... ..................... 36
Using the Float Options............................ ........................... 37
Using File and Data Extract Options ................ .................. 38
Using the Lockbox Archive Options .................. ................ 39
Using the Special Processing Options ............... ............... 39
5 Contacts ......................................... .............................40
6 Transport Options ................................ ......................41
Overview ........................................... .................................... 41
Understanding the Layout of the Transport Options T ab.........41
Setting the Capture Pass Options ................... ................... 42
Using the Encode Match Percentages ................. .............. 43
7 Payees and Special Instructions.................. .............44
Overview ........................................... .................................... 44
Understanding the Layout of the Payees Area ........ ..................44
Understanding the Layout of the Special Instruction s Area.....45
Managing the Payee/Special Instruction Information Box.......................... 46
8 Deposit Outlines................................. ........................47
Overview ........................................... .................................... 47
Understanding the Layout of Deposit Outlines Tab ... ...............47
Managing the Deposit Outlines List ................. .................. 48
Setting Up the Deposit Accounts .................... ................... 49
First Deposit Account.............................. ....................................49
Managing the Tickets in a Deposit Outline .......... .............. 50
Payment Document ................................... ..................................50
Remittance Document ................................ .................................50
Scan Document...................................... ......................................50
Rejected Item ...................................... .........................................51
Deposit Ticket ..................................... .........................................51
Pocket Cut Ticket.................................. .......................................51
Memo Ticket ........................................ .........................................52
Setting Additional Tickets for a Ticket Type....... ............... 52
Defining a Custom Encode Line for a Ticket ......... ............ 53
Using Delimiters................................... ........................................54
Using Substitution Parameters...................... .............................54
Adding Endorsements for Tickets.................... .................. 56
Setting the Endorsement Position................... ...........................56
Entering the Endorsement Information............... .......................58
9 Forms – Data Entry ............................... .....................60
Overview ........................................... .................................... 60
Understanding the Layout of the Data Entry Tab ..... .................60
Copying a Form ......................................................................................... 61
Understanding the Layout of the Data Entry Form Set up Window............................................. ............................................64
Understanding the Data Entry Form Information........................................ 65
Performing Verification of a Data Entry Form............................................. 66
Understanding the Options Tab ................................................................. 67
Setting the BDF Options...................................................................... 68
Setting the Special Processing Options............................................... 70
Understanding the Transport Tab .............................................................. 71
Understanding the Fields Tab.................................................................... 72
Understanding the Data Entry Field Dialog Box .................................. 72
10 Forms – Retail.................................. .........................74
Introduction ....................................... ................................... 74
Understanding the Layout of the Retail Tab ......... .....................74
Copying a Retail Form ............................................................................... 75
Performing Verification of a Retail Form........... .........................75
Retail Forms – Options ............................. ....................79
Overview ........................................... .................................... 79
Understanding the Layout of the Options Tab ........ ..................79
Selecting a Workflow Pass.......................... ........................ 80
Image Workflow Processing for 1.5-Pass ............. .....................80
Image Workflow Processing for 2-Pass ............... ......................81
Setting the Values for Pocket Cuts................. .................... 81
Pocket Cuts by Batch ............................... ...................................81
Pocket Cuts by Item Count .......................... ...............................81
Selecting a Payment Processing Option .............. ............. 82
Setting the Balance Limitations.................... ...................... 82
Retail Forms – Transport ........................... ...................83
Overview ........................................... .................................... 83
Understanding the Layout of the Transport Tab ...... .................83
Setting the Capture Pass Options ................... ................... 84
Using the Encode Match Percentages ................. .............. 85
Retail Forms – RemitDoc ............................ ..................86
Overview ........................................... .................................... 86
Understanding the Layout of the Scan Lines Tab ..... ................87
Understanding the Layout of the Scan Line Info Subtab............................ 87
Font Types........................................................................................... 89
Font Set............................................................................................... 90
Band Width.......................................................................................... 90
OCR Coordinates ................................................................................ 91
Transport OCR Coordinates ..................................................................... 92 Understanding the Layout of the Scan Fields Subtab ................................ 93
Understanding the General tab on the Scan Field Setup Window....... 94
Scanline Description ................................................................................. 96 Mask.......................................................................................................... 96
Understanding the Process tab on the Scan Field Setup Window....... 98
Check Digits............................................................................................... 99
Stop/Positive File Testing........................................................................... 99
Accessing the Stop/Positive File Management Window .................... 100
Understanding the Layout of the Stop/Positive File Management Window.............................................................................................. 101
Loading and Testing Data........................................................................ 102
Loading and Testing Data from the Incoming Source File................. 102
Selecting the Incoming Source File ........................................................ 103 Testing the Data from the New File........................................................ 103
Viewing Existing Data in the RemitTrac Converted File .................... 105
Testing Existing Data in the RemitTrac Converted File ..................... 106
Understanding the Remittance Document Scanline................................. 107
Locating the Scanline on the Remittance Document ......................... 107
Indentifying the Scanline Fields on the Scanline ............................... 108
Understanding the Layout of the Mark Sense Fields T ab....... 109
Mark Sense Field Information .................................................................. 110
Defining a Mark Sense Zone.................................................................... 111
Using the Mark Sense Zone Image Editor ............................................... 112
Understanding the Layout of the MICR Tab........... .................. 115
Retail Forms – Pocket Assignments .................. .......116
Overview ........................................... .................................. 116
Understanding the Layout of the Pocket Assignments Tab...116
Adding a Transport ID.............................. .......................... 117
Selecting a Workflow Pass.......................... ...................... 118
Setting Pocket Assignments......................... .................... 118
Setting Pocket Assignments for the Capture Pass .... ............. 119
Setting Pocket Assignments for the Encode Pass..... ............. 120
11 Forms – Item Processing......................... ..............122
Overview ........................................... .................................. 122
Understanding the Layout of the Item Processing tab ........... 122
Copying an Item Processing Form........................................................... 122
Understanding the Item Processing Form Setup Window........................ 123
Understanding the Item Processing Form Information............................. 123
Performing Verification of an Item Processing Form ......................... 124
Managing the Options Tab ........................... ............................. 125
Managing the Transport Tab......................... ............................ 126
Managing the Document Fields Tab................... ...................... 127
Viewing the All Fields Tab........................................................................ 127
Managing the Document Types Tab ........................................................ 128
Sample Credit Card Processing Module Image................................. 137
Sample Redaction Module Image...................................................... 138
12 Billing ......................................... .............................139
Overview ........................................... .................................. 139
Understanding the Layout of the Billing Tab........ ................... 139
13 Output.......................................... ............................140
14 DLN..........................................................................140
Lockbox Setup 1
Overview
Introduction Lockbox Setup controls settings that define processing requirements for lockboxes. Three types of lockboxes can be set up. These lockbox types are Wholesale, Retail, and Copy Print.
• Wholesale lockboxes are characterized as business-to-business payment processing services. The work for a Wholesale lockbox is comprised of deposit items that may or may not contain full page invoices (scandocs).
• Retail lockboxes are characterized as consumer-to-business remittance processing services. The work for a Retail lockbox is comprised of deposit items with OCR scan-able coupons (remittances).
• Copy Print lockboxes are characterized as image and/or print services. The work for a Copy Print lockbox is comprised of non-depositing accounts with only image capture.
When processing items for a lockbox, setup values under Lockbox Setup override the same values that are defined in Bank Setup. If certain lockbox setup information (such as deposit cut-off times and priority settings) is omitted, the system uses the values from Bank Setup.
Lockbox Setup controls batch numbering, batch sizing, data entry requirements, custom endorsements, special reporting, and delivery requirements, as well as many other customer driven processing requirements for the lockbox.
Understanding the Layout of the Lockbox List
When Lockbox Setup is first accessed, the operator’s default bank is displayed in the Bank List and the lockboxes for the bank are displayed in the Lockbox List. The list is sorted first in numerical order and then alphabetical order by Lockbox ID. From the Lockbox List, an operator can select a bank, refresh the lockbox list, add a new lockbox, modify an existing lockbox, copy the lockbox setup to another lockbox, and view a lockbox.
NOTE: The ability to access or change information in Lockbox Setup depends on the operator’s Functional Level and the workflow options selected for the operator in Operator Setup. See “Configuration Setup – Operators” in the RemitTrac Setup Manual for more information about configuring an operator’s account.
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Figure 1. Lockbox Setup window
Table 1 describes the elements of the Lockbox Setup window.
Table 1. Elements of the Lockbox Setup Window
Element Description
Menu List of menu selections that are available on the Lockbox Setup window
Bank list List of banks defined for the Site
Lockbox List List of lockboxes defined for the selected bank
Locate options Options for locating lockboxes by Lockbox ID or Lockbox Name on the Lockbox List
Locate text box
Area where a character string can be entered to find a lockbox on the Lockbox List
Export Lockbox Command to export a lockbox. For more information on exporting lockboxes, refer to “Using the Import/Export Lockbox Setup Utility” on page 7.
Lockbox Number Displays the number of lockboxes that are contained in the specified bank.
Global Search Allows an operator to locate lockboxes in any bank. For more information, refer to “Locating a Lockbox Using the Global Search Feature” on page 6.
Lockbox List
Bank list
Locate text box
Locate options
Menu
Lockbox Number
Export Lockbox
Global Search
Lockbox Setup 3
Table 2 describes the columns displayed on the Lockbox List.
Table 2. Column Headings for the Lockbox List
Column Contents
Lockbox ID Represents a unique alphanumeric field that identifies the lockbox
Child ID Future Enhancement
Lockbox Name Represents the name of the lockbox customer or account that the bank handles for the lockbox customer
Type One of three types of accounts can be created for lockbox customers, depending on the licensing version of RemitTrac that has been purchased. These types are Wholesale, Retail, and Copy Print.
Status Shows the exception status of the lockbox, such as Deleted or InActive
Adding a Lockbox
When the operator chooses the Add command, the Add a New Lockbox dialog box is displayed on the screen.
Figure 2. Add New Lockbox Dialog box
To add a new lockbox, the operator must enter a Lockbox ID and choose a lockbox type on the Add a New Lockbox dialog box. The Lockbox ID is the lockbox number, an alphanumeric field that is used to identify the lockbox for the site. The Lockbox Type list determines the work type to be processed within the lockbox: Retail, Wholesale, and Copy Print.
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Copying Lockbox Setup Information The Copy command can be used to copy setup information from an existing lockbox and to create a lockbox for either the same bank or a different bank.
When the Copy command is chosen from the Lockbox Setup window, the Copy from… dialog box is displayed on the screen, as shown in Figure 3.
Figure 3. Copying from… dialog box
Table 3 lists the elements on the Copy from…dialog box that are used for copying setup information.
Table 3. Elements of the Copying from… Dialog Box
Element Description
Lockbox ID Enter the Lockbox ID number for the new lockbox
Lockbox Type list Select a lockbox type: Wholesale, Retail, or Copyprint
Setup Options Options for selecting setup information to copy to the new lockbox
Select All Info option Selects or deselects all setup options
Other Destination option
Enables the user to copy setup information to a lockbox for a different bank through the Destination Bank list
Destination Bank list Select a different bank for which to create a new lockbox
Setup options
Destination Bank list
Lockbox Number
Lockbox Type List
Other Destination Bank option
Select All Info option
Lockbox Setup 5
Displaying Lockboxes by Lockbox Type
By default, the Lockbox List displays all of the lockbox types for all of the lockboxes for the selected bank. Specific lockbox types can be viewed by selecting Filter on the Lockbox Setup menu. Figure 4 displays the available lockbox type selections on the Filter menu.
Figure 4. Lockbox types on the Filter menu
To eliminate a specific lockbox type from the lockbox list, deselect the check mark next to the lockbox type. The lockbox list will only display the remaining selected lockbox types.
Locating a Lockbox on the Lockbox List
Figure 5. Locate text box on the Lockbox Setup Wind ow
The Locate feature can be used to find a lockbox entry on the Lockbox List. By default, the focus is placed on the Locate Text box to enable operators to quickly search for a particular lockbox. An operator can search by lockbox name, by lockbox ID, or by both.
Once an operator enters information, the system locates the first lockbox on the Lockbox List that matches the characters that have been entered into the Locate Text box. The search can be repeated by using the Find Next command.
Locate Options
Locate Text box
Find Next Command
6 RemitTrac Setup Manual
Locating a Lockbox Using the Global Search Feature
The site-wide Global Search allows an operator to search for a lockbox across all the banks that are set up in the system. Figure 6 indicates the location of the Global Search command on the Lockbox Setup window. The Global Search feature can also be accessed from the Utilities menu.
Figure 6. Accessing the Global Search feature
Results from a Global Search are displayed in Figure 7.
Figure 7. Using the Global Search Feature
The Global Search feature works similarly to the Locate options on the Lockbox Setup window. However, instead of searching for a lockbox in a bank, Global Search finds
Global Search command
Global Search can be accessed from the Utilities menu
Enter a character string into the
Text box…
Any lockboxes containing the
characters “Lockbox 1” will display
…then choose Search
Lockbox Setup 7
lockboxes in a site. After entering characters into the Text box and choosing Search, the results include any lockboxes in the site that contain those characters.
Using the Import/Export Lockbox Setup Utility The Import/Export Lockbox Setup Utility provides the ability to create and modify Lockbox account definitions in one database system (i.e., a test environment) and then copy the same Lockbox Setup information to another database system (i.e., a production environment).
Using the Import Lockbox Setup Utility
The Import Lockbox Setup Utility provides the ability to import Lockbox account definitions from another system. At the alternate physical site, server, or database system, an operator copies the IscanData folder to a local PC’s “C:\” drive.
The Import Lockbox Setup Utility is accessed from the Lockbox menu on the Lockbox Setup window.
Figure 8. Accessing the Import Lockbox Setup Utilit y
The Import Lockbox Setup Utility is displayed on the screen. The Bank tab is the first tab to be shown.
Access the utility through Lockbox, then
Import…
8 RemitTrac Setup Manual
Understanding the Bank Tab
Figure 9. Import Lockbox Setup - Bank tab
Table 4 describes the elements of the Bank tab.
Table 4. Elements of the Bank Tab
Element Function
Export Directory Name of the directory in which any lockboxes to be imported are being stored
Bank List List of the bank(s) that have lockboxes to be imported
Bank Selection Options for selecting the bank(s) from which to import lockboxes. “Select All” is used to select all banks in the bank list and “Clear Selections” is used to clear any selections that have been made in the bank list.
Import Options Options for determining which information to import. For more information, see “Import Options” on page 9.
Command Buttons Commands for resetting the selected options to the default utility options and values, selecting to import the selected lockboxes, and closing the utility.
Bank List
Bank Selection
Import Options
Command Buttons
Export Directory
Lockbox Setup 9
Understanding the Lockbox Tab
From the Lockbox tab, the operator can select which available lockboxes to import.
Figure 10. Import Lockbox Setup - Bank tab
The list is sorted by Lockbox ID in numeric order. For all other elements of the Lockbox tab, see Table 4 on page 8.
Import Options
The operator has the option of including or excluding certain types of lockbox information during the Import process. Table 5 describes the available options.
Table 5. Import Options
Option Description
Deleted Lockboxes Includes lockboxes that are marked as “Deleted”
Inactive Lockboxes Includes lockboxes that are marked as “Inactive”
Do NOT Import any Lockboxes with same Lockbox IDs at the Destination
Option to not allow a lockbox to be imported if the imported lockbox shares the same ID as a lockbox already existing at the destination. If this option is not selected, the operator will be prompted to change the Lockbox name and ID.
Lockbox List
Lockbox Selection
10 RemitTrac Setup Manual
Table 5. Import Options (continued)
Option Description
Include Lockbox Forms Information
Includes the Retail and Data Entry Form information. Does not include actual Data Entry jobs stored on the Captiva/Formware server.
Include Reports Includes reports that have been custom designated for the lockbox
Include Lockbox Payees and Special Instructions
Includes the Lockbox Payee and Special Instruction information
Using the Export Lockbox Setup Utility
The Export Lockbox Setup Utility provides the ability to export selected Lockbox account definitions from the database and external files, such as the Payee.lst, to a local directory entitled C:\IscanData.
The Export Lockbox Setup Utility is accessed from the Lockbox tab on the Lockbox Setup window.
Figure 11. Accessing the Export Lockbox Setup Utili ty
The Export Lockbox Setup Utility is displayed on the screen. The Bank tab is the first tab to be shown.
Access the utility through Lockbox, then
Export…
…Or select the command to export the specified lockbox
Lockbox Setup 11
Understanding the Bank Tab
Figure 12. Export Lockbox Setup - Bank tab
Table 6 describes the elements of the Bank tab.
Table 6. Elements of the Bank Tab
Element Function
Bank List List of banks for the site (bank names sorted in alphabetical order)
Bank Selection Options for selecting the bank(s) from which to export the lockbox(es). The “Select All” option is used to select all banks in the bank list, “Clear Selections” is used to clear any selections that have been made in the bank list, and Default Bank is used to select the operator’s default bank.
Export Options Options for determining the amount of information to export. For more information, see “Export Options” on page 12.
Command Buttons Commands for resetting the selected options to the default utility options and values, selecting to export the selected lockboxes, and closing the utility
Bank List
Bank Selection
Export Options
Command Buttons
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Understanding the Lockbox Tab
From the Lockbox tab, the operator can select multiple lockboxes to export.
Figure 13. Export Lockbox Setup - Bank tab
The list is sorted by Lockbox IDs in numeric order. For all other elements of the Lockbox tab, see Table 6 on page 11.
Export Options
The operator has the option of including or excluding certain types of lockbox information during the Export process. Table 7 describes the available options.
Table 7. Export Options
Option Description
Deleted Lockboxes Includes lockboxes that are marked as “Deleted”
Inactive Lockboxes Includes lockboxes that are marked as “Inactive”
Empty Lockboxes Includes lockboxes that do not have registered batches
Lockbox Forms Information
Includes the Retail and Data Entry Form information. Does not include actual Data Entry jobs stored on the Captiva/Formware server.
Lockbox Payees and Special Instructions
Includes the Lockbox Payee and Special Instruction information
Reports Includes custom reports that are set up for the bank
Lockbox List
Lockbox Selection Options
Lockbox Setup 13
Directory Tree Structure of the Export
C:\IScanData\ BankDir\ LockDir\ LockFile.rec (File of database records) LockFile.joi (File of instruction to connect database records)
Form\ Form files
Report\ Report files Payee.lst Spin.lst Changes.dat
Using the Lockbox Group Connect Utility The Lockbox Group Connect Utility adds or removes Group Names within the Additional Information section on the General tab in Lockbox Setup. The utility uses a configuration file that identifies the bank name(s), group name(s), and lockbox IDs that should be updated. After the entries have been added or removed, any report or transmission file that supports group reporting will output information based on the updated group information.
NOTE: ImageScan recommends that a site only executes the Lockbox Group Connect Utility during times of system inactivity.
The Lockbox Group Connect utility uses the information stored within a configuration file to update the Additional Information section in the designated lockboxes. You can create a configuration file using an editor such as the Notepad program. For more information about the Lockbox Group Connect Configuration file, refer to the “Lockbox Group Connect Configuration File” document in the RemitTrac Setup Manual.
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The Lockbox Group Connect Utility is accessed through the Utilities button on the Lockbox Setup window.
Figure 14. Accessing the Lockbox Group Connect Util ity
The Lockbox Group Connect window will be displayed.
1. From the Lockbox Group Connect window, browse for the desired .lgc file.
2. Add the entries that are defined in the file to the designated lockboxes by selecting Connect. -or- Remove the entries that are defined in the file from the designated lockbox by selecting Disconnect.
Figure 15. Connecting or Disconnecting a Lockbox Gr oup Connect File
Lockbox Setup will be updated as necessary.
Access the utility through Utilities, then
Lockbox Group
Connect…
Select “…” to browse for a .lgc file…
… then select Disconnect or Connect to remove or add entries
Lockbox Setup 15
Using the Clean Up Lockbox Modification Logs Utilit y The Clean Up Lockbox Modification Logs utility enables users to delete lockbox modification history from the Changes.dat files in the lockbox directories. The Change.dat file contains additions, updates and deletions of lockbox configuration data from various areas of Lockbox Setup. An operator can delete all lockbox modification history for the selected banks and lockboxes, or only delete lockbox modification history up to and including a specific date. The Clean Up Lockbox Modification Logs Utility is accessed through the Utilities button on the Lockbox Setup window.
Figure 16. Accessing the Clean Up Lockbox Modificat ion Logs Utility
The Clean Up Lockbox Modification Logs window is displayed on the screen. The Bank tab is the first tab to be displayed.
Access the utility through Utilities, then
Clean Up Modification
Logs…
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Understanding the Bank Tab
From the Bank section, the operator must select the bank(s) for which lockbox modification history should be deleted.
Figure 17. Clean Up Lockbox Modification Logs windo w – Bank Tab
Table 8 describes the elements of the Bank tab on the Clean Up Lockbox Modification Logs window.
Table 8. Elements of the Bank Tab
Element Function
Bank list List of banks for the site (bank names sorted in alphabetical order)
Bank Selection
For selecting the bank(s) in which to perform clean up from the bank list. “Select All” is used to select all banks in the bank list, “Clear Selections” is used to clear selections that have been made in the bank list, and Default Bank is used to select the operator’s default bank.
Clean Options Used to determine the amount of lockbox modification history to delete
Command buttons
Commands to reset the selected options to the default options and values, clean up the selected bank, and close the program
Bank list
Clean Options
Command Buttons
Bank Selection
Lockbox Setup 17
Understanding the Lockbox Tab
From the Lockbox tab, the operator can select the lockboxes for which lockbox modification history should be deleted.
Figure 18. Clean Up Lockbox Modification Logs windo w – Lockbox Tab
The list is sorted by Lockbox IDs in numeric order. For all other elements of the Lockbox tab, see Table 8 on page 16.
Using the Clean Options for the Bank and Lockbox Ta bs
The Clean Options determine the amount of lockbox modification history to delete. These options apply to both the Bank and Lockbox tabs. The operator can select to delete all or some of the lockbox modification history.
Figure 19. Clean Options
Table 9 describes the Clean Options.
Table 9. Clean Options
Option Function
Clean Modification History up to the selected Date
Deletes all modification history up to and for a selected date
Lockbox Selection
Lockbox list
18 RemitTrac Setup Manual
Table 9. Clean Options (continued)
Option Function
Date list Specifies the date through which the modification history should be deleted.
Clean up ALL Modification History
Used to delete all lockbox modification history, regardless of date.
1 General
Overview
The General tab contains general information about the lockbox, such as the lockbox name, lockbox type, and dates on which setup activity occurred. This tab also contains a list of group names for which the lockbox is a member, and directory information where setup files for the lockbox are stored. In the General tab, information about the lockbox can be added or modified (such as the lockbox name or activation date), or information can be viewed for reference purposes.
Understanding the Layout of the General Tab
Figure 20. Lockbox Setup - General Tab
Lockbox Information
Directory I nformation
Setup Activity Dates Parent/Child Setup
Additional Information for
group name
Lockbox Name
Logo Options
Lockbox Setup 19
Table 10 describes the elements of the General tab.
Table 10. Elements of the General Tab
Element Function
Lockbox Name Name of the lockbox customer. While the lockbox is first given the name of “Lockbox NN” (NN representing the Lockbox ID) by default, the lockbox name can be deleted and renamed by the operator as desired. This alphanumeric field can be up to 39 characters long.
Parent/Child Setup Future enhancement.
Lockbox Information
Shows the ID, type, and internal number of the lockbox. The Lockbox ID is the identification number assigned to the lockbox customer. This alphanumeric field can be up to 17 characters long. The Type displays the type of lockbox processing or service. A lockbox can be retail, wholesale, or copy print. The internal number of the lockbox is a non-repetitive number assigned by the system to distinguish the lockbox.
Directory Information
Displays the name of the directory where information for the lockbox configuration settings is saved in the system and the path of the lockbox directory in the RemitTrac system. These are display-only fields.
Setup Activity Dates
Area that displays creation, activation, modification, and deletion dates and the name of the operator that performed the last activity. This section also contains options to delete a lockbox or to mark it as in-active.
Additional Information
Area that displays the group(s) in which the lockbox is a member. When a lockbox is added to a group, processing activity for the lockbox is reported with activity from other accounts.
NOTE: Groups that are listed on the Additional Information list can contain lockboxes that are unrelated to each other.
Logo Options Allows the operator to search the system files for the logo image to be printed on image copies and reports. A separate logo can be chosen for the reports and for the image prints.
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Using the Lockbox Setup Activity Dates
Figure 21. Lockbox Setup Dates
Lockbox setup activity dates represent the system dates on which an operator creates, activates, modifies or marks a lockbox for deletion. The name of the operator who created the lockbox or performed the last updates to the lockbox setup is recorded in the “by” area. Table 11 lists the setup activity dates that are displayed in the General section.
Table 11. Setup Activity Dates
Date Description
Created On Date on which the lockbox was added to the system
Activate On Date on which the lockbox became active so that work can be registered to the lockbox
Delete On Date on which the lockbox will be deleted
Modify On Last date on which an operator saved any changes to the lockbox setup
Changing the Activate on Date
By default, the date that the lockbox is added to the system is set as the Activate on Date. The Activate on Date can be changed. By setting the Activate on Date, work can be prevented from being registered to the lockbox. Once the Activate on Date is reached, work can be processed for the lockbox.
IMPORTANT: The Activate on Date is a required value in the lockbox setup information. If the Activate on Date is missing, work will be unable to be registered for the lockbox.
Marking a Lockbox as Inactive
The In-Active option marks a lockbox as inactive. Once a lockbox is marked as “inactive”, an operator will be unable to register work for the lockbox. For lockboxes that process seasonal work, using the In-Active option allows an operator to keep the lockbox in the system while preventing work from being processed for that lockbox during off season times. The lockbox is available for re-activation at any desired time. Unlike
Lockbox Setup 21
marking the lockbox for deletion, marking a lockbox as inactive allows an operator to re-active the lockbox when needed.
Changing the Delete on Date
The Delete on Date represents the date on which a lockbox will be marked for deletion. When the Delete-on Date is reached, the lockbox is marked as deleted and an operator will be unable to register work for the lockbox. Marking a lockbox for deletion does not remove the lockbox or any of its history from the system. If a lockbox is marked for deletion, but the system date has not reached the Delete-on Date, it is possible to remove the Delete-on Date.
Marking a Lockbox as Deleted
The Deleted option marks a lockbox as deleted. Once a lockbox is marked as “deleted”, an operator will be unable to register work for the lockbox, but will still be able to view the lockbox. In order to permanently delete a lockbox, the lockbox must be manually deleted through the Remove Lockbox Utility.
Using Additional Information
Figure 22. Additional Information
Additional Information is used to group like lockboxes together for reporting purposes. When a group name is added, processing activity for the lockbox is reported with activity from other accounts. The Manual Report Interface allows reports and transmission files to be generated by groups. All lockboxes that have the specified group name as an Additional Information field will be included in the report or transmission file. A lockbox can be a member of any number of groups. The names of each group in which the lockbox is a member must be added to the Additional Information list.
NOTE: The group name must be a single word or value containing up to 19 characters. The field cannot contain a space character.
22 RemitTrac Setup Manual
2 Batch Overview
The Batch tab contains settings to control how a batch processes through the system.
Understanding the Layout of the Batch Tab
Figure 23. Lockbox Setup - Batch Tab
Table 12 summarizes the information that can be entered in the Batch tab.
Table 12. Elements of the Batch Tab
Element Description
Batch Type Options that define the default batch type
Priority Options Values for setting the priority at which standard batches process through the system and the dollar amount that triggers priority processing for batches for the lockbox
Work Group list List of workgroups that can be selected for a lockbox
Sequence Numbering Options that establish the assignment of batch sequence numbers for the Encode pass
Limits and Balancing Options
Options that control the limits and balancing of items and item types during transport processing
Lockbox Sequencing Routines
Area to manage batch sequencing routines, which define a group of sequence numbers used during batch processing.
Batch Type
Priority options
Limits and balancing options
Sequence Numbering options
Work Group list
Lockbox Sequence Routines
Lockbox Setup 23
Setting the Batch Type
Figure 24. Batch Types
The Batch Type establishes whether an operator can create items or transactions in a batch. The Transaction option establishes that a batch will contain transactions, which can contain either single items or multiple items. With the Item option, batches can contain only items (no transactions). The Batch Type options are only available for Wholesale lockboxes. Retail lockboxes can only use the Transaction option. The batch type for a specific Wholesale batch can be changed during Registration without changing the default batch type for the lockbox.
Setting the Priority and High Amount Values
Figure 25. Values for Priority and High Amount
The Priority value influences the order in which a batch processes through Batch and Item Processing functions. Table 13 summarizes the ranges and formats of the Priority and High Amount values.
Table 13. Priorities
Option Description Default The priority level that is assigned to a batch. Defines the order of
precedence in which batches are placed on the Processing Queues. Values can be set from 10 to 127.
High The priority processing that will be assigned to a batch if the batch total meets or exceeds the High Amount. Values can be set from 10 to 127.
High Amount The amount threshold that triggers the change in the batch priority from the default priority to the High dollar priority
NOTE: The lower the priority value, the higher the priority assigned to the batch during workflow processing.
24 RemitTrac Setup Manual
Selecting a Work Group for a Lockbox
Figure 26. WorkGroup list
The WorkGroup list contains a list of workgroups defined for the site. This feature can be used to include the lockbox in a workgroup accessed by specific work teams at the site. For more information, see the document “Configuration – Work Groups” in the RemitTrac Setup Manual for information about creating workgroup profiles.
Defining the Sequence Numbering Options
Figure 27. Sequence Numbering options
From the Sequencing Numbering section, the operator can select when sequence numbers are assigned to batches. Table 14 describes the Sequence Numbering options.
Table 14. Sequence Numbering Options
Option Description
Level Gives the option of choosing which Batch Sequencing numbers to use
ID Works with the “Level” option. Represents the value that has been given to the routine that is being used by the Lockbox.
Before Encode
The Batch Sequence Number is assigned to the batch at the start of the encode pass for the batch. With this option, if the batch is aborted during encode and re-encoded, the next batch sequence number is assigned to the batch, thus causing a gap in the Batch Sequence Number for the lockbox.
After Encode (default)
The Batch Sequence Number is assigned to the batch at the close of the encode pass for the batch. With this option, if the batch is aborted during encode, the same batch number is assigned to the next batch encoded for the lockbox.
Lockbox Setup 25
Table 14. Sequence Numbering Options (continued)
Option Description
At Registration The Batch Sequence Number is assigned to the batch when the batch is registered. The Registration option is only available for Wholesale lockboxes. If a batch is deleted from processing, a gap in the Batch sequence numbers will occur for the lockbox.
Notify Notifies the operator of the Batch Sequence number assigned to the batch when the batch is registered. The notification of the batch sequence number assignment is only valid with for Wholesale batches created using Batch Registration or Batch Item Entry.
Track Custom Saves the Batch Sequence Number in the “Custom Batch Number” field (data entry field 506).
NOTE: In the TrakCntl.ini configuration file, the TrackCustEncode value must be set to “Yes” for this functionality to work.
Track Capture The Batch Sequence Number is assigned to the batch during the capture pass. The Track Capture option is only available for Retail lockboxes.
Custom User-defined Batch Sequence Numbers.
NOTE: The user defined batch sequence numbers are defined in the Encode Sequence definition at the site or bank level. For more information on defining Encode Sequence definitions, see the document “Track Control Configuration File” in Appendix A of the Transport Manual for your site.
Setting Limits
Figure 28. Limits Section
The Limits represent the maximum number of items that can process in a batch or transaction. The Enable Limit Checking option is used to enable the limits when running a batch. If the Enable Limit Checking option is not selected, the Limits will not be used.
NOTE: The NoLimitWarning variable in the Track.ini file controls whether messages for limits are displayed to the operator during transport processing.
26 RemitTrac Setup Manual
Setting the Batch Limits
Batch Limits represent the maximum number of transactions, items, or item types that can process in a batch. Batch limits are utilized during Registration and during the Image Capture pass. Messages are displayed as the limit is approached, reached and exceeded. The settings that are defined in the Limits section affect when warning messages are displayed.
Setting the Transaction Limits
The Transaction Limits control the number of items of a specific type (payments, scan docs and/or remittance documents) that can process in a transaction. A transaction can contain single or multiple payments (Wholesale processing), or single or multiple payments with one or more remittance documents (Retail processing). Table 15 lists the values that can be entered to set the Transaction limits.
Table 15. Values for Transaction Limits
Limit Purpose
Payments Controls the total number of payments that can process in each transaction.
Remit Docs Controls the total number of remittance documents that can process in each transaction. Applies to Retail processing only.
Scan Docs Controls the total number of scanned documents (scan docs) that can process in each transaction.
Using the Balance Forces Limits Option
Figure 29. Balancing Options
The Balance Forces Limits option controls how items are processed and how the Balance function handles the limits. When the Balance Forces Limits option is enabled, the final Balance pass will enforce the transaction and batch limits by rejecting the batch or transaction to meet the defined limits.
NOTE: In order for the Balance Forces Limits option to be enabled, the Enable Limit Checking options in the Batch section must also be enabled.
Lockbox Setup 27
If Batch limits are defined, final Balance will reject the entire batch if any of the defined limits are exceeded. If Transaction limits are defined, final Balance will reject any transaction whose defined limits are exceeded.
WARNING : If no limits are defined, final Balance will reject the entire batch if the system limit is reached.
Setting the Sequencing Routines
Figure 30. Understanding the Sequencing Routines Ar ea
The Sequence Routines area defines the sequence routines that are assigned to processed batches. Through the Sequence Routines area, sequence routines can be added, edited, or removed. The list can also be refreshed to show any changes. The Sequence Routines are set up through the EncdSeqn window, which is accessed through the Add command.
Understanding the EncdSeqn window
Figure 31. Understanding the EncdSeqn window
Process Information
Sequencing Numbers
Reset Frequency
Sequencing Type
28 RemitTrac Setup Manual
Table 16 describes the elements of the EncdSeqn window.
Table 16. Elements of the EncdSeqn Window
Element Description
Process Information
Provides fields to enter the ID number of the Sequencing Routine, a description of the Routine, and a choice of storing the Routine at Site or Lockbox level.
Sequencing Numbers
Area to enter the sequence numbers that are assigned to processed batches.
Reset Frequency Defines when the batch sequencing numbers should be reset. If the Bank Day option is selected, the sequencing numbers will start over every Bank Day. If the Range option is selected, the sequencing numbers will start over when the number that is specified in the Count text box is reached.
Sequencing Type Gives the option of assigning sequencing numbers by each batch. All other options are Future Enhancements.
Setting the Batch Sequence Numbers
Figure 32. Batch Sequence options
In the Sequencing area, the operator can enter the sequence numbers that are assigned to processed batches. Batch Sequence numbers are sequentially assigned to a batch at registration, during capture or during encode. Sequence numbers continue to be assigned until the last sequence number in the range is reached. Once the last sequence number in the range is assigned, the Batch Sequence range is reset back to the starting sequence number. Table 17 describes the Batch Sequencing options.
Table 17. Batch Sequence Options
Option Description
Beg(in) Beginning sequence number for the sequence range. This value is assigned to the first batch processed for the lockbox during a process cycle.
Cur(rent) Next sequence value to be assigned in the sequence range. This value increases by one (“1”) as each batch is processed for the lockbox.
Lockbox Setup 29
Table 17. Batch Sequence Options (continued)
Option Description
End Last sequence number for the sequence range.
Inc(rement) Amount of numbers between each sequence number. For example, with an Increment of 1, the sequence numbers would follow 1, 2, 3. With an Increment of 5, the sequence numbers would follow 5, 10, 15.
Caution: Batch Sequence numbers should never be changed during production. Changing Batch Sequence numbers during production can cause duplicate or missing batch sequence numbers to be generated for the lockbox.
3 Deadlines
Overview The Deadlines tab contains settings to control the deposit cutoff times for the lockbox, as well as options for enabling Phone Notification for the lockbox, reporting the last deposit for the lockbox, and reporting nil deposits. This section also contains options to disable the ability to force batches into the last deposit of the day or defer work during Registration to the next business day.
Cutoffs/Deadlines represent the deposit cutoff times during the bank day when information about deposits becomes available for reporting. During Registration, a message is displayed to the operator if the last cutoff time for the day has passed. If items require processing after the deposit cutoff time, the operator can (1) force items for processing into the last cutoff time for the day, or (2) process the items during the first cutoff time of the next bank day.
NOTE: The deposit cutoff times that are entered at the lockbox level become the default values for the lockbox. If no cutoff times are set at the lockbox level for a Wholesale lockbox, the cutoff times from Bank Setup are used during Wholesale processing. If no cutoff times are set at the lockbox level of a Retail lockbox, the reserved time “00:00” is used by the system as a cutoff time during Retail processing.
30 RemitTrac Setup Manual
Understanding the Layout of the Deadlines Tab
Figure 33. Lockbox Setup – Deadlines Tab
Table 18 describes the elements of the Deadlines tab.
Table 18. Elements of the Deadlines Tab
Element Description
Cutoffs/Deadlines text box
Used to enter a time for a new deposit cutoff
Cutoffs/Deadlines List List of deposit cutoff times
Last Deposit Notification option
Option that enables only one deposit to be reported at the end of the day for the lockbox. Future enhancement.
Disable Last Cutoff Forcing option
Option to prevent batches from being forced into the last batch of the day, deferring the work until the next business day.
Disable Next Day Holdover option
Option to prevent work from being postponed during Registration to the next business day, forcing the batch into the last deposit of the day.
Future Deposit Registration option
Option to allow a future deposit date to be selected on the Registration window
Phone Notify option
Cutoffs/ Deadlines list
Cutoffs/ Deadlines
text box
Nil Deposit options
Last Deposit Notification option
Disable Last Cutoff Forcing Option Disable Last Next
Day Holdover option
Future Deposit Registration option
Lockbox Setup 31
Table 18. Elements of the Deadlines Tab (continued)
Element Description
Phone Notify option
Option that enables the customer to be notified by phone about deposit activity in the lockbox. When the Phone Notify option is enabled, unreported deposits are displayed in the Deposit Notification program. Future Enhancement.
Nil Deposits option
The Nil Deposits options control how often nil deposit reports are reported during the bank day. There are two options:
• “By Cutoff” - generates a nil deposit reports after each deposit cutoff time that has no deposit activity.
• “For Day”- generates a nil deposit report after the last deposit cutoff time for the day if there was no deposits for the day.
NOTE: The Nil Deposit options that are selected affect the type of information included in the Deposit Summary Report. See “Viewing the Deposit Summary Report” for more information about defining the requirements for the Deposit Summary Report.
32 RemitTrac Setup Manual
4 Options
Overview On the Options tab, an operator can specify additional processing requirements for workflow processes and for generating data output for a lockbox.
Understanding the Layout of Options Tab
Figure 34. Lockbox Setup - Options Tab
Table 19 defines the elements of the Options tab.
Table 19. Elements of the Options Tab
Element Description CAR Option to enable CAR (Courtesy Amount Recognition) for the
lockbox. CAR is a system process that automates the reading of a handwritten or machine printed courtesy amount from an item.
Image Print options
Options to specify the types of images to print during the Image Print process. The Image Print option must be enabled before the system can print item images or information about encoded items.
Float options
Archive options
MICR Repair options
Image Print options
CAR option
Extracts options
Foreign Processing options
Exception options
Lockbox Archive Options
Encryption options
Special Processing options
Lockbox Setup 33
Table 19. Elements of the Options Tab (continued)
Element Description
Extracts Options
Options to specify the file format to be used in generating reports for the output file and/or the type(s) of data to be extracted from processing information. These options include whether data will be extracted for an Intraday feed or extracted in BAI format.
MICR Repair options
Options to specify which fields must be repaired during the MICR Repair process. The system uses the MICR Repair settings when: (1) the MICR field remains blank, (2) the transport misreads characters on the MICR line of a payment; or (3) the Routing and Transit number fails check digit validation. The Float module requires that the R/T receives repair. Check 21 and ARC require that all fields are selected.
Exception Options to specify requirements for exceptions processing
Float Indicates to the batch scheduler that the lockbox should undergo the Float process.
Foreign Processing
Future Enhancement. Options to specify requirements for processing foreign items and/or foreign suspects through the system.
Encryption Options
All are Future Enhancements, other than the ability to encrypt images. If the Images option is selected, images in a batch will be encrypted.
Archive Options to specify Archive requirements. Includes the ability to enable Archiving for the lockbox and to define what kinds of images are archived.
Special Processing
Options for enabling Check 21, X9.37, and ARC processing for the lockbox. Also allows the system to detect items processed previously for deposit through the lockbox and indicate if items should be sent to the track for the Encode pass.
Lockbox Archive Options
Options to specify Archive requirements for the lockbox. The operator can define where to store backup copies of item images and data, including data entry information on the system. The directory specifies where the system stores additional copies of archived data for the lockbox. The image delivery specifies the output format for the archive data.
34 RemitTrac Setup Manual
Using the CAR Option
Figure 35. Courtesy Amount Recognition (CAR) option
The CAR option is used for enabling Courtesy Amount Recognition for the lockbox. Courtesy Amount Recognition is a system process that automates the reading of a handwritten or machine printed courtesy amount from an item. The CAR option allows the system to try to read the numeric amount (for example, “50.00”) printed and/or written on the payment.
NOTE: The CAR program is purchased as an additional module through ImageScan.
Using the Image Print Options
Figure 36. Image Print options
The Image Print option automates the creation of an Image Print report for a batch after the batch is encoded. The types of images and data to include on the Image Print report can be specified through the various Image Print options. Table 20 describes the types of information that can be printed about items.
Table 20. Image Print Options
Option Description
ABL Only Prints a summary about processed items, including process date, sequence numbers and amounts encoded for each item
Print Accepts Prints detailed information about encoded items, including process date, item images, sequence numbers and amounts encoded for each item
Print Rejects Prints detailed information about items rejected during the Encode Pass. Includes process date, item images and sequence numbers for each rejected item.
Lockbox Setup 35
Table 20. Image Print Options (continued)
Option Description
Print Amount Prints items that equal or exceed a specific dollar amount. Includes process date, item images, sequence numbers and amounts for each item over a specific dollar amount.
NOTE: If the Print Amount option is selected, the corresponding dollar amount must be entered. If no dollar amount is entered, all items in the batch will be included on the Image Print report.
Using the MICR Repair Options
Figure 37. MICR Repair options
MICR Repair options define which fields must be repaired during the MICR Repair process. MICR Repair is an optional process. The system uses the MICR Repair settings when (1) the MICR field remains blank, (2) the transport misreads characters on the MICR line of a payment; or (3) the Routing and Transit number fails check digit validation. Table 21 describes the available MICR fields that can be selected for MICR Repair.
Table 21. MICR Fields
Field Description
Auxfield Repair the Auxiliary (Aux On-Us) number
R/T Repair the Routing-and-Transit number
Account No. Repair the Account Number
Tran Code Repair the Tran Code number
EPC Repair the External Processing Code
The R/T field must be repaired for a lockbox that requires Float processing. All fields must be repaired for a lockbox that requires Check 21 or ARC processing. In order for some look-up tables to function properly, the R/T and Account No. need to be selected.
36 RemitTrac Setup Manual
Specifying When to Perform MICR Repair
If the MICR Repair option has been selected, an operator can specify when to perform MICR Repair for batches. Table 22 describes the options for specifying when to perform MICR Repair.
Table 22. Encode Options for MICR Repair
Option Description
Before Encode Perform MICR Repair before encoding items at the transport
After Encode (default)
Perform MICR Repair after the encoding items at the transport
NOTE: Before Encode must be selected if 1) the lockbox requires Decisioning, 2) the lockbox requires Check21/ARC or 3) the lockbox allows rejecting of items during Data Entry.
Using the Exceptions Options
Figure 38. Exceptions Options
The Exceptions options allow an operator to specify requirements for exceptions processing. These options must be set at both the Lockbox Setup and Form level. Table 23 describes the Exceptions options.
Table 23. Exceptions Options
Option Description
Credit Card Future Enhancement
Customer Decisioning
Forces the batch to a Decisioning notification module that provides the customer with deposit information and allows the customer to accept or to change information about items identified as exceptions during data entry
Batch Notification
Option to inform the customer about certain activity for the lockbox
NOTE: Decisioning and notification is purchased as an additional module through ImageScan.
Lockbox Setup 37
Using the Float Options
Figure 39. Float Options
The Float option is utilized for scheduling batches using the Float program. The Float program calculates the availability of deposits and includes this information in daily deposit reports to the lockbox customer. Float can vary by time of day or by the day of the week and can include float calculations for holidays. The Float package can be used to calculate customer float, as well as bank float. The Enable Float option notifies the Batch Scheduler that Float should be performed on the batch. The other options of the Float section are not used at this time.
NOTE: Float processing for the lockbox is controlled by settings in the Floattab.cfg configuration file. For more information about the Floattab.cfg configuration file, see “Appendix A: Float Configuration File” in the RemitTrac Setup Manual.
When the Float option is enabled for the lockbox, a system check is performed on the status of the MICR Repair and Routing and Transit (RT) options. If either the MICR Repair or RT option is not selected for the lockbox, the options are automatically selected and enforced for Float processing.
NOTE: Float is purchased as an additional module through ImageScan.
38 RemitTrac Setup Manual
Using File and Data Extract Options
Figure 40. Standard Extracts options
The Extracts options enable an operator to specify options for the types of file formats that are allowed for the lockbox. Table 24 defines the Extracts options.
NOTE: Before the lockbox can be included in the Intraday or BAI output file, the Intraday and/or BAI options must first be enabled for the bank assigned to the lockbox. See “Site, Bank and Lockbox Setup–Output” in the RemitTrac Setup Manual.
Table 24. Extracts Options
Option Description
Intraday Option to specify that data will be extracted and output in the Intraday format
BAI Option to specify that data will be extracted and output in the BAI format
Restrict Unsolicited Field Transmission
Option to specify that data that has been redacted cannot be sent in a transmission file
Restrict Unsolicited Field Reporting
Option to specify that data that has been redacted cannot be generated in a report
Standard Invoice Image Output
Option to generate TIF images in a Standard Invoice Transmission File
NOTE: Before the lockbox can be included in the Intraday or BAI output file, the Intraday and/or BAI options must first be enabled for the bank assigned to the lockbox. See “Bank Setup–Output” in the RemitTrac Setup Manual.
Lockbox Setup 39
Using the Lockbox Archive Options
Figure 41. Lockbox Archive Options
The Lockbox Archive settings define the archive requirements for the lockbox. Table 25 describes the Lockbox Archive settings.
Table 25. Additional Archive Settings
Field Description
Directory Directory where the system stores additional copies of archived images and data for the lockbox
Image Delivery Future Enhancement. Output format for the archive data.
Send Deleted Batch to Lockbox Archive
Option to send batch data to Lockbox Archive, even if that batch was deleted
Send Original Data if Redacted
Option to send the original data from a batch that has been redacted
Using the Special Processing Options
Figure 42. Special Processing Options
The Special Processing options enable Check 21, ARC and Duplicate Detection processing.
NOTE: Check 21 and ARC are purchased as additional modules through ImageScan.
40 RemitTrac Setup Manual
Table 26 describes the Special Processing options.
Table 26. Special Processing Options
Option Description/Function
Check 21 Processing Enables the ability to capture, convert and format check images and data from the original, paper-based items that can be transmitted electronically for deposit
Force Transport Encode Pass for Check 21
Enables the Encode Pass for Check 21 batches run in 2 pass lockbox forms. Applies to Retail lockboxes only. Allows outsorting of Remittances from Check 21 items and Rejects and from the IQA exceptions and Foreign accepts.
Skip Track Outsort Indicates that Check 21 batches containing rejected items, IQA rejects and Foreign rejects do not have to be encoded on the track.
ARC Processing Enables the ability to convert consumer payments from checks to ACH debits according to lockbox conversion criteria. Check 21 processing must be set in order to enable ARC processing.
Duplicate Detection Enables the ability to detect items that were processed previously for deposit
Automatic Redaction
Future Enhancement.
IMPORTANT: For Check 21/ARC processing, the MICR Repair options must also be enabled for Auxfield, R/T, Account No., Trancode and EPC. When the Duplicate Detection option is selected in the lockbox setup, MICR Repaired information is used to match items already processed for deposit during a previous processing session.
In addition, the “Check 21 Processing” check box must be selected to enable the use of the "Forced Transport Encode Pass for Check 21" option.
5 Contacts For more information about the Contacts tab, refer to “Site, Bank and Lockbox Setup - Contacts” in the Site Section of the RemitTrac Setup Manual.
Lockbox Setup 41
6 Transport Options
Overview The Transport Options tab contains the transport settings for all Wholesale lockboxes. The system uses these settings to define how items for the lockbox are processed in the transport.
NOTE: For Retail processing, the system uses the Transport settings defined for the Retail form. For more information about setting Retail Transport Settings, see “Retail Forms – Transport” on page 83.
Understanding the Layout of the Transport Options T ab
Figure 43. Lockbox Setup -Transport Options Tab
Table 27 describes the elements of the Transport Options tab.
Table 27. Elements of the Transport Options Tab
Element Description
Capture Pass Options to define which images to capture and save during the Capture Pass
Encode Pass Future Enhancement
Image
Capture and Encode options
Image Display Quality
Encode Match settings
42 RemitTrac Setup Manual
Table 27. Elements of the Transport Options Tab (co ntinued)
Element Description
Encode Match settings
Settings to define processing requirements for matching characters captured during the Capture Pass with the characters captured during the Encode Pass
Image Display Quality
Option to select which kind of image will be displayed to the operator during Item Processing and in Research Editor
Setting the Capture Pass Options
Figure 44. Image Capture Pass Options
The Capture Pass options control the imaging of items on the transport during the capture pass. To process items, the Front option for Payment (and Remit Doc for Retail processing) must be selected for the lockbox. More space is required for image storage when both sides of items are captured at the transport during the capture pass. The “grayed-out” options are future enhancements, excepting the RemitDoc option. Table 28 describes the current capture pass options.
Table 28. Capture Pass Options
Option Description
Remit Doc Store the image of the remittance documents (OCR scannable coupons)
Payment Store the image of the payment documents (checks)
Scan Doc Store the image of the scanned documents (invoices without scanlines)
Best Image Store the image of the best image that has been captured
Lockbox Setup 43
Table 28. Capture Pass Options (continued)
Option Description
Color Store the colored image. Only available for transports that have color software.
Gray Scale In addition to the bi-tonal images, save the Alternate Image type (gray scale and/or jpeg) for all documents
Black and White
Store only the black and white image
NOTE: A gray scale camera must be installed on the transport in order to capture alternate (gray scale) images. If the Gray Scale option is selected, a gray scale and bi-tonal image will be captured and saved for all the item types selected. Some transports offer color images. For this option, the hardware must be set up to capture the color image instead of a gray scale image.
NOTE: A rear camera must be installed on the transport in order to capture rear images.
Using the Encode Match Percentages
Figure 45. Encode Match Percentages (Retail lockbox )
Encode Match represents the percentage of characters from the document that must match the characters captured from the same document in order to “match” the item for automatic power encoding/processing. When the item is processed at the transport, the number of characters captured from the MICR or Scanline during the capture pass is evaluated against the number of characters captured from the same MICR or Scanline during the encode pass to determine if it is the same item and should be power encoded/processed without operator intervention.
If the percentage of characters on the remittance or payment document meets (or exceeds, if less than a 100% match) the Encode Match value, the item is processed automatically. If the percentage of characters on the remittance or payment fails to match the Encode Match value, the transport stops processing the item. A message alerts the operator of a possible mismatch and the operator validates if the item should be encoded/processed for the value displayed.
44 RemitTrac Setup Manual
7 Payees and Special Instructions
Overview The Payees and Special Instructions tab contains a list of approved payee names for items processed for the lockbox account and a list of customized instructions for handling items processed for the lockbox account.
Understanding the Layout of the Payees Area
Figure 46.Understanding the Payees area
The Payees area establishes when a payee becomes active and if operators must verify payees on items before the items are processed for the lockbox account. Table 29 describes the elements of the Payees area.
Table 29. Elements of the Payees Area
Element Description
Force Payee Verification Option
Option to require all operators to verify the payee name on each payment item before processing the payment
Payees List List of approved payees for the lockbox account
Command Arrows Arrows used for moving payees up and down in order of importance
Payees List
Force Payee Verification
option
Command Arrows
Lockbox Setup 45
Table 30 describes the information displayed in the Payees list.
Table 30. Payee Information
Column Description
Type Describes the type of entry
Primary Displays whether the payee is a primary contact. A primary contact will be indicated by a “>” symbol in the Primary column. A contact that is not primary will not have a symbol. Not valid for Special Instructions.
Description Describes the Payee
Effective Displays the date on which the payee became active
Deleted Displays the date on which the payee was deleted
Understanding the Layout of the Special Instruction s Area
Figure 47. Understanding the Special Instructions a rea
The Special Instructions area establishes when a special instruction becomes active or deleted and if there are any special procedures to perform on an item. For more information on the elements of the Special Instructions area, see “Understanding the Layout of the Payees Area” on page 44.
Special Instruction list
Command Arrows
46 RemitTrac Setup Manual
Managing the Payee/Special Instruction Information Box
The Payee/Special Instruction Information window is accessed through the Add and the Modify command on the Payee and Special Information tab.
Figure 48. Understanding the Payee/Special Instruct ion Information box
Through the Payee/Special Instruction Information window, the operator can add or edit the definition of a payee or a special instruction, mark a payee as Primary and change the effective date or the deletion date. Table 31 describes the fields of the Payee/Special Instruction Information window.
Table 31. Fields on the Payee/Special Instruction I nformation window
Field Description
Description Represents the name of the payee to which the item must be made payable or the procedure that the operator must follow when processing items. This field can contain up to 38 alphanumeric characters.
Primary Marks the payee as a primary contact. A primary contact will be indicated by a “>” symbol in the Primary column. A contact that is not primary will not have a symbol. Not valid for Special Instructions.
Effective Date Represents the date on which the payee or instruction becomes active for the lockbox account. The system uses the Effective Date to determine when the payee or instruction is displayed during Registration. By default, the current date is inserted automatically. The Effective Date can be changed to a date that is earlier or later than the current system date.
Deletion Date Represents the date on which the system automatically suspends the payee or instruction from displaying. When a payee or instruction is deleted, it is no longer displayed during Registration. Until reaching the deletion date, the payee or instruction is still displayed in Lockbox Setup.
Lockbox Setup 47
8 Deposit Outlines
Overview The Deposit Outlines tab contains settings for processing deposits for the lockbox. Each deposit outline represents information for processing specific document types, as well as its control documents. In this tab, the operator can set up deposit accounts and manage the encoding and endorsement information for processing the items within the deposit.
Understanding the Layout of Deposit Outlines Tab
Figure 49. Lockbox Setup - Deposit Outlines
Table 32 describes the elements of the Deposit Outlines tab.
Table 32. Elements of Deposit Outlines Tab
Element Function
Deposit Outlines list List of deposit outlines for the lockbox
Outline Info Account information for the primary deposit accounts
Encode Line Encode line layout that is defined for the selected ticket type
Tickets list List of ticket/document types defined by a deposit outline
Additional Ticket Value that designates the number of extra tickets of the selected ticket type that are required by the deposit outline
Deposit Outlines list
Outline Info
Tickets list
Encode Line
Endorsement
Endorsement Stamp
Additional Tickets
48 RemitTrac Setup Manual
Table 32. Elements of Deposit Outlines Tab (continu ed)
Element Function
Endorsement Stamp Settings that control the placement of the endorsement stamp on a document
Endorsement Definition of the endorsement to be printed on the document and settings controlling placement of the endorsement on the document
Managing the Deposit Outlines List
Figure 50. Managing the Deposit Outline List
Before item sorting and document information for a deposit can be defined, deposit outlines must be added to the Deposit Outlines list. Each deposit outline on the Deposit Outlines list is assigned a Deposit Outline ID. For Wholesale lockboxes, one deposit outline for processing payments is required. For Retail lockboxes, separate deposit outlines are needed for processing payments and remittance documents. Each outline defines the document and the control documents required by the corresponding item type, as well as the item Endorsement layouts. If the process requires the outsorting of Stop File and/or Positive File rejects during Retail processing, a third deposit outline ID needs to be assigned.
CRITICAL: Outline 1 is reserved for payments (required for wholesale and retail lockboxes), Outline 2 is reserved for remittances (required for retail lockboxes), Outline 3 is reserved for Stop File/ Positive File rejects (optional for Retail Lockboxes) and Outline 4 is reserved for scandocs (optionally used for retail lockboxes only)
Lockbox Setup 49
Setting Up the Deposit Accounts
Figure 51. Deposit Account section
The Deposit Accounts represent the primary and the secondary* demand deposit account (“DDA”) information that is to be encoded on documents used for processing deposits. The deposit accounts are associated with a specific deposit outline. Table 33 lists the values that can be entered for the deposit accounts for the lockbox.
Table 33. Deposit Account Values
Value Description Maximum Value / Character Format
R/T
ABA (American Bankers Association) value that identifies a specific financial institution
9 numeric characters
Tran Code Tran Code Up to 9 numeric characters
DDA Account number for a demand deposit account
Up to 20 numeric characters
Threshold* Maximum dollar amount of payments deposited in the First Deposit account
System defaults to 0. A value of “0” means that there is no limit to deposits allowed to the primary deposit account.
* Feature will be implemented in a future release.
First Deposit Account
The First Deposit section represents account information for the primary deposit account. In this area, information must be entered for the primary deposit account for which the lockbox customer wants to deposit the payments. If the R/T and Trancode for the First Deposit account is omitted, the system uses the R/T and Tran Code values from Bank Setup.
_____________________
* Feature will be implemented in a future release.
50 RemitTrac Setup Manual
Managing the Tickets in a Deposit Outline
Figure 52. Managing the Ticket Encode/Endorsemen t list
The Tickets section represents specific documents that the system needs for processing the deposit. For example, a ticket must be added for payment documents to process payments. A separate ticket type must be added for each document type that requires encoding or a unique endorsement during the encode pass. In addition, certain documents can be added that control how items process through the transport. The tickets that must be added to the deposit outline depend on the lockbox type and the type of items that are processed for the lockbox. Each ticket type is defined once for a deposit outline.
Payment Document
The Payment Document ticket must be included in the deposit outline to process checks for deposit. The Payment Document is required for both Wholesale and Retail processing, and must be added on the Tickets list in Deposit Outline ID 1.
Remittance Document
The Remittance Document ticket must be included in the deposit outline to process remittance documents that accompany payments in a transaction. The Remittance Document ticket is required for Retail processing only, and must be added on the Tickets list in Deposit Outline ID 2.
Scan Document
The Scan Document ticket must be included in the deposit outline to process scandocs that accompany payments in a transaction. The Scan Document ticket is required for Retail processing only, and must be added on the Tickets list in Deposit Outline ID 4.
Lockbox Setup 51
Rejected Item
The Rejected Item ticket is used for assigning System rejects (Stop/Positive File rejects) to a different pocket from the rest of the Item Processing rejects. The Rejected Item ticket is used for Retail processing only, and the selection of this ticket is optional. The Rejected Item ticket must be added on the Tickets list in Deposit Outlines 3.
Deposit Ticket
The Deposit Ticket must be included in the deposit outlines that require a deposit ticket to record the total dollar amount of the deposit. The Deposit Ticket is required for both Wholesale and Retail processing. In Wholesale, Deposit tickets are generated by Batch. In Retail, Deposit tickets are created on demand, usually by trays.
Because the payment Deposit Ticket is required for both Wholesale and Retail processing, a Deposit Ticket must be added to Deposit Outline ID 1. A remittance Deposit Ticket should be used for balancing Retail work and should be added to Deposit Outline ID 2.
If custom values are not defined for the Deposit ticket encode line, the default values for the system are used. Table 34 describes the default values for the Deposit ticket encode lines.
Table 34. Default Values for Deposit Ticket Encode Lines
Field Default Value Aux-On-Us Lockbox Number
Routing Transit (R/T) number First Deposit R/T value from the outline.
DDA number First Deposit Account value from the outline.
Tran Code First Deposit Tran Code value from the outline
Amount Deposit total from the encode pass.
If the RT and/or Tran Code are not present in the Deposit Outline settings for the lockbox, the system uses the RT and Tran Code values from the General section of Bank Setup. If the DDA value is missing from the Deposit Outline settings, this value is not encoded on the Deposit ticket.
Pocket Cut Ticket
The Pocket Cut Ticket must be included in the deposit outlines of Retail lockboxes that require the total dollar amount of payments or remittance documents sorted to each pocket during the encode process. The pocket cuts are determined by the “Pocket Cut” settings under Process Info in the Retail section. For information about setting up pockets cuts for processing items, see “Retail Forms – Options” on page 79.
A separate Pocket Cut Ticket must be added to Deposit Outline ID 1 (payments) and Deposit Outline ID 2 (remittance documents) in order to create Pocket Cut Tickets for
52 RemitTrac Setup Manual
both the payments and remittances of Retail lockboxes.
If custom values are not defined for the Pocket Cut ticket encode line, the default values for the system are used instead. Table 35 describes the default values for the Pocket Cut ticket encode lines.
Table 35. Default Values for Pocket Cut Ticket Enco de Lines
Field Default value Aux-On-Us No value is included in the encode line
Routing Transit (R/T) number
Pocket Cut RT value defined for the site.
NOTE: If no Pocket Cut RT value is defined for the site, the Batch End R/T value is used.
DDA number Batch system control number
Tran Code No value is included in the encode line
Amount Pocket total from the encode pass.
Memo Ticket
The Memo Ticket is a ticket used for custom encoding sub-deposit tickets for each batch within a tray. This ticket is optional and for Retail processing only. Memo tickets can be added to Deposit Outlines 1 and 2.
If custom values are not defined for the Memo Ticket encode line, the default values for the Deposit Ticket are used instead. For information about the default values for the Deposit Ticket, see Table 34 on page 51.
NOTE: To process a Memo ticket at the transport for a Retail batch, the Pocket Cut – Batch option must be selected for the Retail form.
Setting Additional Tickets for a Ticket Type
Figure 53. Adding Additional Tickets
By default, the Deposit Ticket, Pocket Cut Ticket and Memo Ticket are encoded at the generation interval defined for the ticket. To generate extra tickets of a specific ticket type, the operator can specify the number of additional tickets for that type in the Additional Ticket box.
Lockbox Setup 53
NOTE: The use of the Additional Ticket box applies for Retail processing only. The Additional Ticket box is unavailable when the Payment Document or Remittance Document ticket is selected from the Tickets list.
Up to three (“3”) additional Pocket Cut Tickets and/or Memo Tickets can be specified in the deposit outline. For example, if the Additional Ticket value is set to “2” for the Memo Ticket, three Memo Tickets (one generated by default, plus two as indicated in the Additional Ticket box) can be processed for the batch. If zero (“0”) is set as the Additional Ticket value, only one ticket of the selected ticket type can be processed for the batch.
Defining a Custom Encode Line for a Ticket
Figure 54. Example of an Encode Definition
The Encode Line field defines a custom encode line that will be printed on a Deposit, Pocket Cut, or Memo ticket. An encode line can be set for a ticket by establishing an Encode Line definition. An Encode Line definition can include numeric values, substitution parameters and delimiters.
During processing, if custom values are not defined for the ticket encode line, the default values for the system are used. For information about the default values for the Deposit and Memo ticket encode lines, see Table 34 on page 51. For information about the default values for Pocket Cut ticket encode lines, see Table 35 on page 52.
NOTE: Values for custom encode lines are printed in a fixed position on the Deposit, Pocket Cut, and/or Memo ticket.
The maximum length of the combined Account Number and the Tran Code fields is 20 characters. If the combined length exceeds 20 characters, the value will be truncated. The maximum number of characters for an Aux field is 12 characters. The Tran Code, a variable length value, can consist of up to 6 characters, and this value is encoded to the left of the Amount field. The remaining character positions to the Routing and Transit field are filled with the MICR delimiter(s) for the Account field, along with the Account value.
NOTE: When defining encode line fields, the Aux-On-Us and RT field require both a beginning and an ending delimiter. The DDA field requires an ending delimiter. A beginning delimiter is optional. The Tran Code field does not require any delimiters.
54 RemitTrac Setup Manual
Using Delimiters
The delimiters represent case insensitive alphabetic characters that are translated into MICR symbols. Table 36 lists the delimiters and the symbol or field definitions that represent the MICR symbols that are allowed in the Encode Line definition.
Table 36. Delimiters for the MICR Symbols
Translation of delimiter to MICR Symbol Delimiter
Symbol Symbol or Field Definition
A Routing and Transit Number field
B Amount field
C Account and Auxiliary On-Us field
D Dash (optional separator for values in the Account field)
The custom value must be manually entered in the Encode Line field, starting with the opening delimiter and then followed by the actual value and the closing delimiter. For example, the value representing the RT value “123456789” is entered on the custom encode line as “a123456789a” for a Deposit ticket.
Using Substitution Parameters
RemitTrac provides the ability to extract and print user-defined data for custom encode lines and endorsements on items processed through the transport. This data is represented in the encode line or in the endorsement by using a series of codes called Substitution Parameters.
Substitution Parameters are used in place of fixed values within the endorsement text or encode line. These codes define specific values printed on the encode line or in the endorsement during Wholesale and Retail processing for payments, remittance documents, Deposit tickets, Pocket Cut tickets and Memo Tickets. Encode line and endorsement layouts are evaluated at the track and the parameter codes embedded within them are translated to include the requested data. For Copyprint processing, Substitution Parameters are applied during the Capture pass only for payments and scan docs.
The Substitution Parameters describe specific data, including:
•••• Data extracted at the system, site, bank, lockbox, form, tray and/or batch levels
•••• Dates from the workflow process (such as the Registration or deposit date)
•••• Data from remittance document fields, payment fields, and Data Entry fields
•••• Count or position of the document within the batch or transaction
Lockbox Setup 55
Parameters share the following settings for the format [x#]:
•••• All Parameters begin with a left bracket (“[”), and end with a right bracket (“]”).
•••• The first character (x) is a letter that designates which parameter is being used in the endorsement or encode line. The available parameters are:
•••• The character (P) is used for global parameters (i.e., Bank Name, Lockbox ID, batch System Control Number, etc.)
•••• The character (D) is used for data parameters (i.e., Process Date, Deposit Date, Registration Date, etc.)
•••• The character (F) is used for field parameters (i.e. field data from a scanline, from data entry, etc.)
•••• The character (C) is used for count parameters (i.e., number of remittances in a batch, etc.)
•••• The character (S) is used for space parameters
•••• The numeric value in the second (and third) position (“#”) is the parameter number that defines the type of data substituted for the parameter.
Figure 55 displays an example using Substitution Parameters for a payment endorsement.
Credit the amount [P52] to account [P74] All Rights Reserved Payable to [P5] – [P6] Deposit Date [DD2]
Figure 55. Using Substitution Parameters in a payme nt endorsement
Figure 56 shows an example of the printed endorsement from Figure 55 after the parameters are translated by the system.
Credit the amount 0000001232 to account 12312382384 834 All Rights Reserved Payable to Bank of ImageScan – 34212343 Deposit Date 2010207
Figure 56. Translated Substitution Parameters in th e payment endorsement
See “Appendix A: Substitution Parameters” in the RemitTrac Setup Manual for more information about using parameters for the encode and endorsement text.
56 RemitTrac Setup Manual
Adding Endorsements for Tickets
Figure 57. Endorsement Section for Tickets
The Endorsement section represents information that the transport prints on a document during the Encode pass. Table 37 lists the values needed for setting up the endorsement.
Table 37. Endorsement Settings
Value Description Endorsement check box Enables the endorsement section
Leading option
Option to set the endorsement from the leading edge of the document. This option is set as the default for all ticket types.
Trailing option Option to set the endorsement from the trailing edge of the document. When the Trailing option is selected, the endorsement is printed on the payment documents in a fixed position.
Endorsement Position For Leading option only. Starting position where the endorsement prints on the document
NOTE: If the item is flagged as a “system reject,” the Reject Code will be endorsed on the document. The placement of the reject code endorsement is controlled by settings in the Track.ini configuration file.
Setting the Endorsement Position
The Endorsement position represents the position of the printed endorsement on a document during the Encode pass.
All Capture (Audit Trail) endorsements are pre-defined (hard-coded in a fixed location on the document), where Line 1 contains the Batch Number and Line 2 contains the Sequence Number and Process Date.
Lockbox Setup 57
NOTE: The NCR series transports only support a maximum of 32 characters per line. To enable endorsements to contain the maximum number of characters per line and to not overwrite the capture endorsement, the Leading position must be set at 26 or greater for the NCR series transports.
If the Leading option is used, the endorsement will be printed from the left margin of the document, as viewed from the back of the item. This setting defines the position on which the endorsement starts printing on the document. The measurement for this value is expressed in millimeters (mm) from the leftmost edge of the rear of the document.
Figure 58 illustrates the print zone on the rear of the item, based on the selection of the Leading option.
Figure 58. Print zone for endorsement based on usin g t
If the Trailing option is used, the endorsement will be printed in a fixed position from the right margin of the document, as viewed from the back of the item. When the Trailing option is selected, the Endorsement Position box becomes unavailable and the operator will be unable to set the starting position.
Figure 59 illustrates the print zone on the rear of the item if the Trailing option is selected.
Figure 59. Print zone for endorsement based on usin g the Trailing option
Height of the Printable Area (from the Top and Bottom of the document to the Print Zone)
Fixed Print Zo ne
Leading Edge Trailing Edge
38 mm
Rear of Item
–- 41 mm
–- 25 mm
8 mm Margin
212 mm Maximum
Rear of Item
–- 41 mm
–- 25 mm
8 mm Margin 8 mm Margin
Leading Edge Trailing Edge
Length of the Printable Area
Height of the Printable Area (from the Top and Bottom of the document to the Print Zone)
Print Zone
58 RemitTrac Setup Manual
Table 38 lists the endorsement settings that can be defined for the Encode pass settings of the NCR transports.
Table 38. Encode Endorsement Settings for Transport s
Encode Settings Settings Leading Option
Preferred position setting for Leading option 26
Maximum number of characters per line 32
Maximum number of lines supported 4
Trailing Option
Preferred position setting for Trailing option N/A
Maximum number of characters per line 12
Maximum number of lines supported 4
Entering the Endorsement Information
The Endorsement Information represents the endorsement text that prints on the document during the Encode pass. To enter the endorsement text, the operator must type each line of the endorsement into the box and use the ENTER key to insert a carriage return at the end of each endorsement line.
NOTE: The substitution parameter [S1] must be used to display a blank line in the endorsement text. The blank line will be disregarded if the Space Substitution parameter is not used, and the following lines will be moved up to replace the blank line.
NOTE: The maximum endorsement length that can be saved in a deposit endorsement outline equals 99 characters per line. See Table 38 to determine the maximum number of characters per line and the number of lines that the transport can print for the endorsement. It is the operator’s responsibility to ensure that the endorsement falls within the maximum character length.
Substitution Parameters can be used to define the endorsements for payments, remittance documents, Deposit tickets, Memo tickets and Pocket tickets processed for the lockbox. Each Endorsement Parameter represents a value stored in the database or captured during transport processing.
Lockbox Setup 59
Figure 60 displays an example of a setup for a payment endorsement that uses Substitution Parameters for the lockbox name, lockbox ID and the machine number of the transport.
Figure 60. Using Substitution Parameters in endorse ment text for payments
See “Using Substitution Parameters” on page 54 for more information.
NOTE: The endorsement text can be globally changed for all lockboxes for a bank (or banks) by using the Global Editor. See the “Global Editor” document in the RemitTrac Workflow Manual for more information about setting up endorsements for lockboxes.
60 RemitTrac Setup Manual
9 Forms – Data Entry Overview
The Forms tab contains settings that enable the operator to control the use of Data Entry forms for the lockbox. In the Data Entry tab under the Forms tab, the operator can view field information and control certain functions for each Data Entry Form. The job definition files are stored in the Formware\Jobs directory.
IMPORTANT: Version 8 Data Entry Receive does not support transaction level data entry if the output file format from version 1.5.1.9 or older is used.
To utilize transaction level data entry in Version 8, you must update your output file format to that of Version 8.
Understanding the Layout of the Data Entry Tab
Figure 61. Lockbox Setup - Forms – Data Entry Tab
Table 39 describes the elements of the Data Entry tab.
Table 39. Elements of the Data Entry Tab
Element Description
Forms list List of Data Entry forms that are defined for the lockbox. Includes the Form’s status, number, name, Job name and flow, and verification status.
Data Entry Options
Forms List
Lockbox Setup 61
Table 39. Elements of the Data Entry Tab (continue d)
Element Description
Data Entry Disabled Option Option to disable Data Entry for the lockbox
Disable NONE Form Option
Option to eliminate the “None” selection on the Data Entry Jobs list. This option forces the operator to assign an active Data Entry job at Registration.
Copying a Form
An operator can copy a Data Entry form from one lockbox to another or copy the same form within the same lockbox.
���� To copy a Data Entry Form from one lockbox to anoth er
1. From the Data Entry tab of the Lockbox Setup to which the Data Entry form should be copied, select Copy.
The Copy Form selection window will be displayed on the screen.
Figure 62. Defining the Copy Form Selection window
2. Select the bank in which the lockbox that contains the Data Entry form to be copied is stored.
3. Select the lockbox in which the Data Entry form to be copied is defined.
62 RemitTrac Setup Manual
4. Select the Data Entry form to be copied.
5. Select the Copy command.
Figure 63. Copying a Form from a Lockbox to Another
6. A message box similar to the one shown in Figure 64 will be displayed to confirm that the selected Form should be copied.
Figure 64. Confirming the Form Copy
7. Select Yes to copy the Form. The message “Copying Form. Please Wait…” will be displayed. -or- Select No to return to the Copy Form Selection window.
Select a bank…
…select a lockbox…
… select a form to copy…
… then select Copy
Lockbox Setup 63
If Yes was selected in Step 7, a message similar to the one shown in Figure 65 will be displayed to confirm that the copy is completed.
Figure 65. Copy Form Confirmation
8. Select OK to return to the Copy Form Selection window.
���� To copy a Data Entry Form in the Same Lockbox
1. From the Data Entry tab of the Lockbox Setup in which the Data Entry form should be copied, select the form to be copied.
2. Select Copy.
A message box similar to the one shown in Figure 66 will be displayed to confirm that the selected Form should be copied.
Figure 66. Confirming the Form Copy
3. Select Yes to copy the Form. The message “Copying Form. Please Wait…” will be displayed. -or- Select No to cancel the copying of the selected form. Proceed to Step 5.
If Yes was selected in Step 3, a message similar to the one shown in Figure 67 will be displayed to confirm that the copy is completed.
Figure 67. Copy Form Confirmation
64 RemitTrac Setup Manual
4. Select OK to return to the Data Entry Form tab of Lockbox Setup.
If No was selected in Step 3, a message similar to the one shown in Figure 68 will be displayed to ask if there is another form from a different lockbox to copy.
Figure 68. Copying Another Form Message
5. Select Yes to proceed to the Copy Form Selection window. For more instructions about copying a form from the Copy Form Selection window, refer to Step 2 on page 62. -or- Select No to return to the Data Entry Form tab in Lockbox Setup.
Understanding the Layout of the Data Entry Form Set up Window
After a Data Entry form has been added, the Data Entry Form Setup window provides information about the form, including where data entry information is stored and any special data entry processing requirements are defined. Table 40 explains the tabs of the Data Entry Form Setup window.
Table 40. Elements of the Data Entry Form Setup wi ndow
Element Description
Options Tab Allows the operator to arrange different options for the Data Entry Form
Transport Tab Allows the operator to specify which images that have been processed through Data Entry are captured and stored
Fields Tab Allows the operator to add, delete, view and modify specific fields in a Data Entry Form
Lockbox Setup 65
Understanding the Data Entry Form Information
Figure 69. Data Entry Form Information
Table 41 describes the Data Entry Form Information displayed on the Data Entry Form Setup window.
Table 41. Data Entry Form Information
Field Description
Form Name Name of the Data Entry form
Form No. Sequence order in which the form was created for the lockbox. This value is assigned by the system.
Status Current status of the Data Entry form. The statuses can be: Default: The form is the default form used by the lockbox. Active: The form can be modified and used. Locked: The form cannot be modified, but can be used. Deleted: The form cannot be modified or used, and is useful for viewing purposes only.
Date Locked Records the date that the form was locked. For informational purposes only.
Job Name The name of the data entry job associated with this form definition
NOTE: The job name is included in the BDF file and is used to determine which data entry job to load for the batch during the Data Entry function.
Job Flow Name of the Job Flow for the Data Entry form. This represents the JobFlow Name that the batch should be queued to during Data Entry processing.
Filename Name of the RTSetup file used for creating the Data Entry form. Forms set up using the XP version 8.10.1.0 software do not have a value in this field.
Verified Works in conjunction with the Verify command. Displays whether the form should function correctly
66 RemitTrac Setup Manual
Performing Verification of a Data Entry Form
Figure 70. Verify Command
The Verify Command is used to test the validity of the information defined in a Data Entryform. If a form passes verification, the word Pass will be displayed in the Verified field of the Data Entry Form Description. If a form fails verification, the word Fail will be displayed in the Verified field.
The Verify Command
Lockbox Setup 67
Understanding the Options Tab
Figure 71. Data Entry Form Setup – Options Tab
Table 42 describes the elements of the Data Entry Form Setup Options tab.
Table 42. Elements of the Options Tab
Element Description
When To Perform Data Entry Options
Gives the operator the choice of performing Data Entry after capture, before encode, or after encode.
NOTE: If the Decisioning option is selected, the form is automatically set to “Before Encode”.
MICR Options Allow the operator to enable MICR Repair, to select which fields should undergo the Repair process, and to choose when to perform MICR Repair.
NOTE: The Enable MICR Repair option must be set if a look-up table based on MICR information is used in the Data Entry job.
Report Option Gives the option of overriding the Image Print settings in Lockbox Setup and not printing Images of any Data Entry items
When To Perform Data Entry Options
MICR Repair Options
BDF Options
Special Processing
Options
Credit Card Options
Report Option
BDF Version
68 RemitTrac Setup Manual
Table 43. Elements of the Options Tab (continued)
Element Description
BDF Options Gives the operator the choice of what images to include in the BDF file and to specify the order of those images
Special Processing Options
Gives the operator the option to define special processing requirements for the data entry batch
Credit Card Options
Specifies if the form contains credit card information that requires Exceptions processing and requires that a form that relates to the Data Entry form has been set up on the Item Processing tab for credit card processing.
BDF Version Drop-down menu from which to select the BDF version for the Data Entry Form, as defined in the DataEntrySend.xml file
Setting the BDF Options
Figure 72. BDF Options
The BDF options determine which images in the batch will be sent to data entry, which record types will be included in the BDF, and in what order. Table 43 describes the BDF options.
Table 43. BDF Options
Option Description
Batch Header Record
Forces the Batch Header image and a 50 Record (header record) to be included in the BDF File
Send Images Allows images to be sent with the BDF File
NOTE: This option must be selected in order for images to be sent to data entry and for record types to be included with the BDF
Lockbox Setup 69
Table 43. BDF Options (continued)
Option Description
All Forces images for all item types in the batch and includes all record types in the BDF File. All types include remittances, payments, and scandocs.
Remittances Only Allows only images of the Remittances and the 01 record types (Remittance records) to be included in the BDF File
First Remittance Allows only the first Remittance of each transaction and its 01 record (Remittance Record) to be included for the transaction in the BDF file
Scandoc Only Allows only images of the Scandocs and the Scandoc record types to be included in the BDF file
First Scandoc Allows only the first Scandoc of each transaction and its corresponding record to be included for the transaction in the BDF file
Payments Only Allows only the images of the Payments and the 21 record types (Payment records) to be included in the BDF File
First Payment Allows only the first payment of each transaction and the 21 record (Payment Record) to be included for the transaction in the BDF file
Rear Images Causes the rear images to be included for the selected item types to data entry for keying
NOTE: Rear images must be captured for the lockbox/form in order for Rear Images to be available
Send Rear Image First
Causes the rear image to be included before the front image in the BDF file
NOTE: Rear images must be captured for the lockbox/form in order for Rear Images to be available
Gray Scale Causes the gray scale images, or alternate images, to be sent to the data entry function
NOTE: The alternate image must be available on the hardware and must be set up for the lockbox in order for this option to be available. Also, if Grey Scale is selected, the grey scale image must be set to capture on the Transport tab.
Mark Sense Data Forces the Mark Sense data for an item to be included in the 01 record type
NOTE: This option is only available for Retail lockboxes that have Mark Sense fields defined. Mark Sense is purchased as an additional module through ImageScan.
70 RemitTrac Setup Manual
Table 43. BDF Options (continued)
Option Description
DLN Allows DLN information, as defined on the DLN tab, to be sent in the BDF
Encrypted Data Allows encrypted information that has been sent through Item Processing to be included in the BDF
Send Order Allows the operator to specify the order of images by item type. The arrow keys are used to move an item type up or down the order.
Image Quality Specifies the quality of the images that are sent in the BDF file
Setting the Special Processing Options
Figure 73. Special Processing Options
The Special Processing options define extra processing requirements for the batch. Table 44 describes the Special Processing options.
Table 44. Special Processing Options
Option Description
Form ID Option to send the specified document types in the BDF with the “unknown” record number (99) so that the Form Identification process in Captiva can identify the documents.
NOTE: Only available for EOB processing, which is used for Revenue Express, a separately purchasable module that is available through ImageScan.
Decisioning Forces the batch to a Decisioning notification module that provides the customer with deposit information and allows the customer to accept or to change information about items identified as exceptions during data entry
NOTE: Decisioning is purchased as an additional module through ImageScan.
Lockbox Setup 71
Table 44. Special Processing Options (continued)
Option Description
Validation Forces a decisioned batch back to Data Entry for validation of the items accepted or changed by the customer during decisioning. The available Validation options are:
All Items – Re-sends all items that have been captured in a batch to be decisioned Transaction – Re-sends only the transactions that have been marked to be sent for decisioning
NOTE: The Decisioning option is required in order to use the Validation options.
Understanding the Transport Tab
Figure 74. Understanding the Transport tab
The Transport tab allows the operator to select which images that have been selected for Data Entry are captured and stored in the database. If the batch is set up for Data Entry, the options that are selected will override any Image Capture options that have been selected on the Transport Options tab in Lockbox Setup.
72 RemitTrac Setup Manual
Understanding the Fields Tab
The Fields tab gives the ability to view, add, edit and delete fields in a Data Entry form.
Figure 75. Data Entry Form Setup Fields Tab
Understanding the Data Entry Field Dialog Box
The Data Entry Field window appears when the Add or Edit command is selected from the Fields tab.
Figure 76. Data Entry Fields window
Information that identifies fields of
data for the Data Entry job
Lockbox Setup 73
Table 45 describes the options available on the Data Entry Field Dialog Box.
Table 45. Data Entry Field Dialog Box
Option Description
Field No. Field number assigned on the Data Entry form
Formware Form No. (Screen No.)
Entry screen on which the field appears on the Data Entry form
Field Sequence Sequence order of the field on the Data Entry job. This is generally the Formware Field Number assigned during the Keying Order process.
Field Name User-defined name of the field. Useful for classification purposes.
Classification Field Classification, including Numeric, Amount, Date, Account, Change of Address, Match Field, and Account Number
Length Data length for the field. Represents the number of characters in the field.
Billing Field Option to include this field in the data entry keyed fields statistic and to include the number of characters in the field in the data entry keystroke statistic.
Billing Verified Field
Option to include this field in the data entry verified fields statistic and to include the number of characters in the field in the data entry verify keystroke statistic
Validation Field Option to specify the field is to be re-sent to data entry for validation and where this field is stored. The “stored at” options include:
• Batch • Transaction
• Remittance • Scan Doc • Payment
NOTE: The Validation Field is only valid for Decisioning batches.
Encryption Required
Gives the option of encrypting the information that is stored for this field
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10 Forms – Retail Introduction
The Forms tab contains settings that enable the operator to control the use of Retail forms for the lockbox. The Retail tab under Forms Setup contains a list of form definitions for a lockbox account. A Retail form definition consists of templates defined for the various remittance documents for item processing.
Understanding the Layout of the Retail Tab
The Retail Forms list is the entry point for defining or modifying the form layout. It contains the list of defined retail forms and options that allow the operator to either prohibit or quantify which items will be allowed to be processed in a batch.
Figure 77. Retail Forms list on the Retail tab
Table 46 describes the Retail Options and the functions that they manage.
Table 46. Defining the Retail Options
Option Description
Retail Forms list Displays the list of defined retail forms for the lockbox. Includes the form’s status, number, name and verification status
Retail Forms list
Retail Options
Lockbox Setup 75
Table 46. Defining the Retail Options (continued)
Option Description
Allow Image Mode Encode Pass (Zero Value)
Allows the operator to select that an image mode batch will be allowed to be run through an encode pass.
NOTE: An image mode batch does not have any dollar amounts associated with the items in a batch.
Allow Stop/Positive Expression Testing
Enables the ability to select the usage of Regular Expressions in a Stop/Positive file within the Retail Form Setup. A Regular Expression allows the use of notations to find patterns of text that are acceptable or should be rejected from a Stop/Positive file. See “Retail Forms – RemitDoc” on page 86 for more information on Stop/Positive files.
Copying a Retail Form
An operator can copy a Retail form from one lockbox to another or copy the same form within the same lockbox. The process for copying a form is the same for the Retail, Data Entry and Item Processing forms. For more information about copying a form, please refer to “Copying a Form” on page 61.
Performing Verification of a Retail Form
Figure 78. Verify Command
The Verify Command is used to test the validity of the information defined in a Retail form. If a form passes verification, the word Pass will be displayed in the Verified field of the Retail Form Description. If a form fails verification, the word Fail will be displayed in the Verified section.
The Verify Command
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Table 47 explains the error messages that are displayed if a form fails. They are displayed in alphabetical order.
Table 47. Verification Error Messages
Error Message
Solution
Error Message: “[Auto Fix] Process Info\ Pocket Cut by Item - Number of Items is reset to 300. (was 0 or >300)”
Solution: The system will automatically reset the value to 300. To change this value from 300, proceed to the Retail Form Setup window / Process Info tab and change the value in the Pocket Cut section.
Error Message: “[Auto Fix] RemitDoc\ Mark Sense Field <x> - <y>\ Max Length is reset to Field Length = <z>.”
Solution: The system will automatically change the maximum length to the field length. To change this value, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab/ Scan Field Setup window and define a maximum field length.
Error Message: “[Auto Fix] RemitDoc\ Mark Sense Field <x> - <y>\ No Mark Sense Value is truncated up to the max length. Value = <z>” or “[Auto Fix] RemitDoc\ Mark Sense Field <x> - <y>\ Zone Value is truncated up to the max length. Value = <z>”
Solution: The system will automatically change the no mark sense value to equal the maximum field length. To change this value, proceed to the Retail Form Setup window/ RemitDoc tab/ Mark Sense Fields tab and change the no mark sense value to be less than or equal to the value of the maximum field length.
Error Message: “[Auto Fix] RemitDoc\ Scan Line <x>\ Scan Field <y> - <z>\ Mask is truncated up to the defined length. Mask = <m>”
Solution: The system will automatically shorten the mask if it is longer than the field. To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab/ Scan Field Setup window and correct the characters in the mask until it is the length of the field.
Error Message: “[Auto Fix] Transport\ Capture Pass must be selected. Default to Payment Front.”
Solution: The system will automatically set the Capture Pass to Payment Front. To change this value, proceed to the Retail Form Setup window/ Transport tab and select the desired option in the Capture Pass section.
Lockbox Setup 77
Table 47. Verification Error Messages (continued)
Error Message Solution
Error Message: “[Auto Fix] Transport\ Encode Match - Payment is reset to 50. (was 0)”.
Solution: The system will automatically set the Encode Match value to 50. To change this value, proceed to the Retail Form Setup window/ Transport tab and change the desired value in the Encode Match section.
Error Message: “[Auto Fix] Transport\ Encode Match - RemitDoc is reset to 50. (was 0)”
Solution: The system will automatically set the Encode Match value to 50. To change this value, proceed to the Retail Form Setup window/ Transport tab and change the desired value in the Encode Match section.
Error Message: “Pocket Assignment\ A 1.5 or 2 Pass Pocket Assignment must be defined.”
Solution: To correct this error, proceed to the Retail Form Setup window/ Pocket Assignments and define the desired pass assignments.
Error Message: “Pocket Assignment\ Machine <x>\ Pass Type: <y>\ Outline <z> is no longer available.”
Solution: To correct this error, proceed to the Retail Form Setup window/ Pocket Assignments and define valid pocket assignments.
Error Message: “RemitDoc\ Mark Sense Field <x> - <y>\ No Mark Sense Value: <z> is shorter than the Field length: <f>” “RemitDoc\ Mark Sense Field <x> - <y>\ Zone Value: <z> is shorter than the Field length: <f>”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Mark Sense Fields tab and change the substitution value to be greater than the field length.
Error Message: “RemitDoc\ Mark Sense Field <x> - <y>\ Field Length must be greater than 0.”
Solution: The system will automatically set the field length to 1. To change this value, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab/ Scan Field Setup window and define a maximum field length.
Error Message: “RemitDoc\ Mark Sense Field <x> - <y>\ No Zone with coordinates is defined.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Mark Sense Fields tab and define the coordinates in the Mark Sense Zones list.
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Table 47. Verification Error Messages (continued)
Error Message
Solution
Error Message: “RemitDoc\ Scan Field <x> - <y>\ Check Digit: <z> is no longer available.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab/ Scan Field Setup window and create a check digit definition.
Error Message: “RemitDoc\ Scan Line 1 must be defined and must contain a Scan Field 0.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab and create a Scanline ID 1 in the Scanline Definitions list. Also, add Scan Field 0 to the Scanline Fields list.
Error Message: “RemitDoc\ Scan Line 1 must be defined and must contain a Scan Field 0.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab and create a Scanline ID 1 in the Scanline Definitions list. Also, add Scan Field 0 to the Scanline Fields list.
Error Message: “RemitDoc\ Scan Line 1 must have "Transport" OCR Coordinates enabled.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab and enable the Transport OCR coordinates.
Error Message: “RemitDoc\ Scan Line <x>\ Scan Field <y> - <z>\ Mask is shorter than the defined length.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab/ Scan Field Setup window and add characters to the mask until it is the length of the field.
Error Message: “RemitDoc\ Scan Line <x>\ Scan Field <y> - <z>\ Stop/Pos File is not found. Expect: <f>.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab/ Scan Field Setup window and import a converted stop/positive file.
Error Message: “RemitDoc\ Scan Line <x>\ Scan Field <y> - <z>\ Position is outside of the defined Scanline Length = <s>.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab/ Scan Field Setup window and either change the position of the field or change the length of the scanline.
Lockbox Setup 79
Table 47. Verification Error Messages (continued)
Error Message
Solution
Error Message: “RemitDoc\ Scan Line <x>\ Scan Field <y> - <z>\ Start Position or Field Length is not defined.”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab/ Scan Field Setup window and add a start position and/or define all number characters in the scan line.
Error Message: “RemitDoc\ Scan Line 1\ Transport OCR Coordinates\ Stop coord (<x>) must be greater than Start coord (<y>).”
Solution: To correct this error, proceed to the Retail Form Setup window/ RemitDoc tab/ Scanline tab and change the Transport OCR coordinates. Correct values would mean that the Stop coordinate is greater than the Start coordinate.
Retail Forms – Options Overview
The Options tab controls settings for payment and remittance workflow processing. Through the Options tab, an operator can establish whether only full or partial payments are processed, in addition to whether pocket cut tickets are processed at a batch or item level.
Understanding the Layout of the Options Tab
Figure 79. Options tab for Retail Forms
Pocket Cut
Business Day workflow
Payment Processing
Workflow Pass properties
MICR Repair Options
Report Option
Balance Limitations Reconcile Option
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Table 48 describes the elements of the Options tab.
Table 48. Elements of the Options Tab
Element Description
Business Day workflow Future Enhancement. Controls the maximum number of days in which a processing task must take place
Workflow Pass Controls how payments and remittance documents are sorted during the Capture and Encode passes
Pocket Cut Controls when pocket cuts are initiated
Payment Processing Controls processing of full and partial payments based on the applied payment amount.
MICR Repair Options Allows the operator to specify the MICR repair options for the form, including when MICR repair is performed
Balance Limitations Options to control the singularity of items in a transaction
Reconcile Option Option to disable the ability to perform Matrix Balancing in Reconcile
Report Option Gives the option of overriding the Image Print settings in Lockbox Setup and not printing Images of any Retail Form items
Selecting a Workflow Pass
Figure 80. Workflow Pass properties
Values set in the Workflow Passes control how payment and remittance documents are processed through the transport during the Capture and Encode passes. An operator can set options for 1.5-Pass and 2-Pass Workflow Passes.
Image Workflow Processing for 1.5-Pass
Using the 1.5-pass workflow process causes the transport to sort the payment and remittance documents into different transport pockets during the Capture pass. The transport only processes and encodes the payments during the Encode pass. A lockbox account can use the 1.5 pass workflow process for processing and accepting any type of payment.
Lockbox Setup 81
Image Workflow Processing for 2-Pass
Using the 2-pass workflow process causes the transport to sort the payment and remittance documents to the same pockets during the Capture pass. The transport processes both payments and remittance documents again during the Encode pass. During the Encode Pass, payments are encoded and sorted for deposit, while remittance documents are separated from the payments and outsorted to separate pockets. In addition, the 2-pass workflow process provides the ability to reject transactions that fail to balance or otherwise meet lockbox account criteria. A lockbox account can use the 2-pass workflow process for derogatory item processing, or for items that have special item balancing requirements or special remittance endorsements.
Setting the Values for Pocket Cuts
Figure 81. Pocket Cut option
Pocket Cut values establish the number of items that can sort to a transport pocket during the Encode pass. The pocket cut value can be set by batch or by a specified number of items.
Pocket Cuts by Batch
The Pocket Cut by Batch option enables the system to process items through the transport by batch. When the Pocket Cut by Batch option is used, the transport cascades items to the next available pocket at the end of each batch.
Pocket Cuts by Item Count
The Pocket Cut by Items option enables the system to process payment and remittance documents through the transport based on the number of items. When the Pocket Cut by Items option is used, the maximum number of items that can sort to the transport pocket must be defined. When the number of items in the pocket exceeds the pocket cut limit during transport processing, the items cascade to the next available pocket.
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Selecting a Payment Processing Option
Figure 82. Payment Processing options
Options in the Payment Processing section determine which items are accepted for processing. Depending on the option that is selected, payments are processed based on the payment amount. Full or Partial Payment Processing can be selected. Full Payment Processing allows transactions only where the applied amount of the payment equals a scanline amount, while Partial Payment Processing allows transactions with an applied payment of any amount to be processed. The applied payments in Partial Payment Processing can be either a full or a partial payment.
Setting the Balance Limitations
Figure 83. Balance Limitations
Options in the Balance Limitations section control the singularity of items in a transaction. If any Balance Limitations options are selected, you will be unable to process that kind of transaction for the lockbox. If you try to process that kind of transaction for the lockbox, the transaction will be rejected at the transport during the Encode pass. Table 49 describes the Balance Limitations options.
Table 49. Balance Limitations
Element Description
Do NOT Allow Multi-Multi Transactions
Controls if transactions that contain multiple remittances and multiple payments can be processed for the lockbox
Do NOT Allow Single-Single Transactions
Controls if transactions that contain single payments and single remittances can be processed for the lockbox
Do NOT Allow Multi-Single Transactions
Controls if transactions that contain multiple remittances with one payment can be processed for the lockbox
Do NOT Allow Single-Multi Transactions
Controls if transactions that contain one remittance and multiple payments can be processed for the lockbox
Lockbox Setup 83
Retail Forms – Transport
Overview
The Transport tab contains the transport settings for the retail form. The system uses these settings to define how items for the retail form are captured through the transport. The transport settings defined for the retail form override the transport settings defined for the lockbox account. If transport settings are not defined for the retail form, the system uses the transport settings defined for the lockbox account.
Understanding the Layout of the Transport Tab
Figure 84. Retail Form Setup – Transport Tab
Table 50 describes the elements of the Transport tab.
Table 50. Elements of the Transport Tab
Element Description
Capture Pass Options to define which images to capture and save during the Capture Pass
Encode Pass Future Enhancement
Encode Match settings
Settings to define processing requirements for matching characters captured during the Capture Pass with the characters captured during the Encode Pass
Image
Capture and Encode options
Encode Match settings
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Setting the Capture Pass Options
Figure 2. Capture Pass Options
The settings in the Capture Pass section control the imaging of items on the transport during the capture pass. To process items through workflow, the Front option for Payment and Remit Doc must be selected for the lockbox. More space is required for image storage when both sides of items are captured at the transport during the capture pass. The “grayed-out” options are future enhancements. Table 28 describes the current capture pass options.
Table 51. Capture Pass Options
Option Description
Remit Doc Store the image of the remittance documents (OCR scannable coupons)
Payment Store the image of the payment documents (checks)
Scan Doc Store the image of the scanned documents (invoices without scanlines)
Best Image Store the image of the best image that has been captured
Color Store the colored image. Only available for transports that have color software.
Gray Scale In addition to the bi-tonal images, save the Alternate Image type (gray scale and/or jpeg) for all documents
Black and White Store only the black and white image
NOTE: A rear camera must be installed on the transport in order to capture rear images.
Lockbox Setup 85
NOTE: A gray scale camera must be installed on the transport in order to capture alternate (gray scale) images. If the Gray Scale option is selected, a gray scale and bi-tonal image will be captured and saved for all the item types selected. Some transports offer color images. For these options, the hardware must be set up to capture these images.
Using the Encode Match Percentages
Figure 3. Encode Match Percentages
Encode Match represents the percentage of characters from the document that must match the characters captured from the same document in order to “match” the item for automatic power encoding/processing. When the item is processed at the transport, the number of characters captured from the MICR or Scanline during the capture pass is evaluated against the number of characters captured from the same MICR or Scanline during the encode pass to determine if it is the same item and should be power encoded/processed without operator intervention.
If the percentage of characters on the remittance or payment document meets (or exceeds, if less than a 100% match) the Encode Match value, the item is processed automatically. If the percentage of characters on the remittance or payment fails to match the Encode Match value, the transport stops processing the item. A message alerts the operator of a possible mismatch and the operator validates if the item should be encoded/processed for the value displayed.
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Retail Form s – RemitDoc
Overview
The RemitDoc tab contains the remittance document settings of a retail form. The system uses these settings to define what data on a remittance document is captured and how that data is processed.
The RemitDoc tab contains four subtabs to define remittance document settings. Table 52 describes the RemitDoc tabs.
Table 52. RemitDoc Tabs
Tab Description
All Fields List of all the fields defined for the Retail form. Displays the line number, field number, type, length, name and any special processing requirements for the field.
Scan Lines Section for defining the scanline and scanline fields of a Retail Form
Mark Sense Fields Section for defining mark sense fields and the associated mark sense zones
MICR Section for indicating which areas in a RemitDoc should have MICR ink
Lockbox Setup 87
Understanding the Layout of the Scan Lines Tab
The Scan Lines tab has two subtabs- the Scan Line Info tab and the Scan Fields tab. The Scan Line Info tab allows the operator to define the scanline, including the length, mask, and location on the remittance document. The Scan Fields tab allows the operator to define the scan fields within the scanline.
Understanding the Layout of the Scan Line Info Subt ab
The Scan Line Info subtab defines the scanline of the remittance document. When the remittance document is processed through the transport, data from the remittance document is read and extracted based on the settings specified for the remittance document.
Figure 85. RemitDoc – Scan Line Info Subtab
Table 53 summarizes the elements of the Scan Line Info tab.
Table 53. Elements of the RemitDoc - Scan Line Info Tab
Element Description Scanline Definitions list
List of scanlines defined for a remittance form. By default, the Scanline Definition list always displays Scanline ID 1.
Scanline Definitions list Scanline
Font Properties
Check Digit Options
OCR Coordinates
Scanline Description
No Scanline Options
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Table 53. Elements of the RemitDoc - Scan Line Info Tab (continued)
Element Description No Scanline Options Options for processing a remittance document that has no
scanline. The “No Scan Line Defined” option requires that the operator must key information from the remittance during Item Processing. The “Allow No Scanline Option” does not require any special processing. The “Software OCR Required” option indicates that a batch using this form must go to Software OCR for classification (DocID) and extraction (DownICR) of scanline data. This option can be used with the No Scanline options. The “Allow Separators in Scan Line Repair” option allows an operator to enter a separator character to separate fields instead of entering multiple spaces in Scanline Repair. The character used to separate fields is defined in the ItemFunction.INI file.
Scanline Description Fields to input the description of the scanline. This description includes the length of the scanline, the option to require encryption on the scanline, and the mask of the scanline.
Scanline Font Properties
Font Type and Font Set that is used to decode the scanline. One of the transport fonts can be selected as the scanline font. This font is used to read the data from a remittance document. The Band Width defines the scan window used when reading the remittance document
OCR Coordinates Defines the location of the scanline for the transport and/or software OCR process. The Software OCR process checkbox must be enabled for the batch to be processed through software OCR.
Check Digit Options Options to enable a check digit for the scanline, to choose which check digit will be used, and the option to use the default check digit position that has been defined in Bank Setup. If the “Use Default Position from Scheme” option is deselected, the operator will have to enter a different number in the “Position” field.
Lockbox Setup 89
Font Types
Figure 86. Font Types
The available Font types depend on the transport selection and configuration and whether the transport supports the font type. Table 54 lists the common font types used for printing the scanline on remittance documents.
NOTE: While there are more font types available, these are not supplied by ImageScan. An NCR representative should be contacted for more information about special font types.
Table 54. Common Font Types
Font Type Character Set* Font Sample
E-13B Numeric characters 0 – 9
and the symbols Α Β Χ and
∆
123456890 Α Β Χ ∆
OCRA-N Numeric characters 0 – 9 and the space character
1234567890 space
OCRA- A/N Alphanumeric, numeric, and symbol character sets
ABCDEFGHIJKLMNOPQRSTUVWXYZ space # $%&*+- /{}1234567890
OCRB-A/N Numeric characters 0 – 9 and
the space character 1234567890 space
OCRB- A/N Alphanumeric, numeric, and symbol character sets
ABCDEFGHIJKLMNOPQRSTUVWXYZ space # % & ( ) * +-/: > < [1234567890
* Symbol character sets are transport dependent; some font subsets do not include symbols.
NOTE: Depending on the transport used, the transport controller returns the exclamation point (!) or the question mark (?) to represent misread characters on the scanline.
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Font Set
Figure 87. Font Set
The Font Set determines which characters are available within the selected font type and enables the system to limit the set of characters for reading the scanline. The availability of the Font Set depends on the transport configuration and whether the character set and subset is supported. Table 55 describes the font sets that can be used to define the range of characters available on the transport.
Table 55. Types of Font Sets
Font Set Use when…
Full Special symbols are present in the scanline
Subset Only characters and numbers are present in the scanline
N/A The transport does not support character subsets
Band Width
Figure 88. Band Width list
The Band Width setting is used to maximize the read position of vertical floating scanlines on a remittance document. The Band Width defines the height of the area of the scan window on the document. The scan window is the blank area above and below the scanline. Band Width options that can be set for a scanline depends on your transport selection and configuration, and whether the transport supports the Band Width option.
Figure 89 shows a sample scanline and Band Width.
48871550012000086006 Thin Band Width
(approx. 0.3") Wide Band Width
(approx. 0.4")
Figure 89. Band Width example
Lockbox Setup 91
Table 56 summarizes the available Band Width values.
Table 56. Values for Band Width
Band Width Scanned Zone around Scanline Thin Transport scans a narrow area around the scanline during the read
process
Wide Transport scans a wide area around the scanline during the read process. The system will automatically try a higher and lower read area to obtain the best read area for a document.
N/A Transport does not support the band width option
OCR Coordinates
Figure 90. OCR Coordinates
OCR Coordinates consist of measurements for the location and dimensions of the scanline. The OCR Coordinates must be enabled to include the measurements in the scanline definition. Table 57 lists the OCR Coordinates that can be defined.
Table 57. OCR Coordinates
Coordinate Description
Transport OCR Coordinates
Coordinates that define the scanline dimensions on the remittance document for transport processing
Software OCR Coordinates
Coordinates to define the dimensions on the remittance document for the Software OCR to read
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Transport OCR Coordinates
Figure 91. Transport OCR Coordinates
The measurements for the Transport OCR Coordinates ensure the proper alignment of the scan window for transport reading of the scanline. During transport processing, the scanline is read from the leading edge to the trailing edge of the remittance document (right to left). Table 58 summarizes the required transport coordinates.
Table 58. Required Transport Coordinates
Coordinate Description
Height Defines the position of the top of the scanline from the bottom edge of the remittance document. The Height Coordinate is a numeric value expressed in millimeters.
Start Defines the start position of the scan window. The start position is measured from the leading (rightmost) edge of the remittance document. The Start Coordinate is a numeric value expressed in increments of one-tenth of one inch (10 characters/inch).
Stop Defines the stop position of the scan window. The stop position is measured from the leading (rightmost) edge of the remittance document. The Stop Coordinate is a numeric value expressed in increments of one-tenth of one inch (10 characters/inch).
Lockbox Setup 93
Understanding the Layout of the Scan Fields Subtab
Figure 92. Understanding the Scan Fields subtab
The Scan Fields subtab displays a list of fields defined for the scanline. Table 59 describes the elements of the scanline fields list.
Table 59. Elements of the Scanline Field List
Element Function
Field No. Identification number that uniquely distinguishes a particular scanline field from all others.
Type Defines the classification of information contained within the scanline field. This information determines the format for the data in the scanline field.
Field Name User-defined name of scanline field. Describes the type of the information being defined.
For more information about the fields defined in a scanline, see “Understanding the General tab on the Scan Field Setup Window ” on page 94.
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Understanding the General tab on the Scan Field Setup Window
The Scan Field Setup window is accessed through the Add or Edit commands on the Scan Fields subtab and contains two tabs to define the scanline field. The General tab defines the general fields of the scanline.
Figure 93. General tab of the Scan Field Setup wind ow
Table 60 explains the elements of defining a scanline field.
Table 60. Elements of Defining a Scanline Field
Element Description
Scanline Description
Displays the field number, field name and classification of the scanline.
Field Options Allows the operator to select whether a field value is required. Only the required option is working at this time.
Scanline Description
Mask Data
Padding
Justification Scan Line Information
Size Information
Field Options
Lockbox Setup 95
Table 60. Elements of Defining a Scanline Field (co ntinued)
Element Description
Scan Line Information
Area to define the characteristics of the position of the scanline.
The Start Position defines the starting position of the field within the scanline. The Start Position is counted from the rightmost character of the scanline to the first character of the field. The value ranges from 1 to the number of characters in the scanline.
The Overlapping option allows the operator to select whether the current field can overlap another scanline field.
Justification Future Enhancement. Works with the minimum length option to indicate if the field data is on the left or right side of the field
Size Information Area to define the size of the scanline and its characteristics.
Length represents the number of characters in the field. The value ranges from “1” to the number of characters in the scanline.
Minimum represents the minimum data length of the field. This can be used for the Software OCR Extraction module and repair functions to evaluate the field value. This is a Future Enhancement.
The Fixed vs. Variable options are required to define whether the length will always be the same or could differ. This option works with the Software OCR module for reading and extraction. This is a Future Enhancement.
Padding Future Enhancement. Works with the minimum length option, indicating if the remainder of the field value after the minimum length should be padded. If the padding option is enabled, an operator can define whether to pad with zeros or spaces.
Mask Data Represents the format that the data reads at the transport or was entered during Scanline Repair or Field Repair must match to be accepted as a valid value
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Scanline Description
Figure 94. Understanding the Scanline Description A rea
The Scanline Description area displays the field number, field name and classification of the scanline. Table 61 describes the elements of the scanline description area.
Table 61. Elements of the Scanline Description Area
Element Definition
Field Num Represents a unique number assigned automatically by the system to identify the scanline field within the Scanline Fields list. The value for Field Num increases sequentially as scanline fields are added.
NOTE: Field 0 is a reserved field number for the entire Scanline. The scanline, field 0, must be defined before any subsequent fields can be added.
Field Name A user-assigned name for the field. Represents the name that relates to the portion of the scanline being processed.
Classification Represents the category or type of data captured from a field on the scanline of a remittance document. The available classifications include: Account Number, Amount, Date, Change of Address, Numeric, Alphanumeric, PC numeric Short, PC Numeric Long, PC Numeric Double, Binary Data, Balance amount field, Scanline, and Form Evaluation Field. NOTE: The Classification of Field ID 0 should always be “Scanline.”
Mask
Mask represents the format that was read at the transport or that was entered during Scanline Repair or Field Repair. When the remittance documents are processed, the system verifies characters on the scanline against the Font Set and the Mask defined for the form. The Mask can be applied to the entire scanline or to individual fields within the scanline. The number of characters in the Mask must equal the number of characters in the scanline or scanline field. If the length of the scanline or scanline field does not match the length of the Mask, a warning message or error message is displayed when the remittance form is validated.
Lockbox Setup 97
Table 62 summarizes the masking characters used to define the mask.
Table 62. Characters Types Used in a Mask
Character Definition
A Alpha character only, no space allowed
Z Alpha character and space allowed
G Alpha or numeric character only, no space allowed
T Alpha or numeric character and space, but no symbols allowed
X Any character from the Font Set, including space allowed
N Numeric digit, symbol, and space allowed
0 Numeric digit only, no space allowed
9 Numeric digit and space allowed
S Only the space character is required in this position
# Only a symbol character or space is allowed in this position
. (Period) Any ASCII character (ignore evaluation for position)
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Understanding the Process tab on the Scan Field Setup Window
The Process tab on the Scan Field Setup window defines any further information that is necessary to process the form.
Figure 95. Scan Field Setup window
Table 63 explains the elements of defining processes for the scanline.
Table 63. Elements of the Process tab
Element Description
Check Digit Area to define if the field requires check digit validation and identifying the ID scheme to use. Also includes the “last character” option, which specifies whether the check digit is the last character of the scanline, and the “No Punctuation” option, which specifies if punctuation should be removed during the check digit evaluation.
Look Up Field Options
Enables the settings that are used to load and test data for stop file and positive pay processing.
The Enable Expression Testing option allows the use of expression testing in the Stop/Positive File. This option is only available for selection if the “Allow Stop/Positive Expression Testing” option is selected at the Form level.
Look Up Field Calculation Edit
Check Digit
Lockbox Setup 99
Table 62. Elements of the Process tab (continued)
Element Description
Calculation Edit Indicates the type of field for calculation purposes.
ID Field indicates the field is used for a calculation edit as additional information, such as cost code, to calculate variable late fees or interest due on a late payment
Calculation Field is used for the external custom edit routines required for payment acceptance, as defined by the customer. A Calculation ID must be entered if the Calc field is selected. This ID will determine the external edit routine that will be applied to the field.
Check Digits
Figure 96. Defining the Check Digit Area
The Check Digit area allows the user to define if the field requires check digit validation and to identify the ID scheme to use. The ID scheme represents the value of the check digit routine to be used against the field. The value for the Check Digit corresponds to the ID of the check digit routine, as defined in Bank Setup. For more information, refer to “Bank Setup — Check Digits” in the RemitTrac Setup Manual. The Check Digit area also includes the “last character” option, which specifies whether the check digit is the last character of the scanline, and the “No Punctuation” option, which specifies if punctuation should be removed during the check digit evaluation.
Stop/Positive File Testing
The Import Stop File utility is used to load and test data (such as account numbers and amounts) for stop file and positive file processing. This data includes a list of values loaded and located on the system. The data is compared against setup information for the scanline field and either rejected or processed, depending on the type of file. If it is a Stop file, the data is compared to the list of values in the file, and if it matches, the document associated with the data is rejected from the batch. If it is a Positive file, the data is compared to the list of values in the file, and if it matches, the document associated with the data is processed within the batch.
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Values in the Stop/Positive file must match the scanline field setup definition length, mask and classification. For more information about masks and classifications, see “Understanding the General tab on the Scan Field Setup Window ” on page 94.
Accessing the Stop/Positive File Management Window
The Stop/Positive File window can be accessed through the Process tab on the Scan Field Setup window.
Figure 97. Accessing the Import Stop/Positive File Management Window
Choose Import Stop/Positive File to
access the Stop/Positive File
Management window
Lockbox Setup 101
Understanding the Layout of the Stop/Positive File Management Window
The Stop/Positive File Management window is used for tasks that involve importing and testing data for stop file or positive file processing.
Figure 98. Stop/Positive File Management window
Table 64 describes the elements of the Stop/Positive File Management window.
Table 64. Elements of the Stop/Positive File Manage ment Window
Element Function
Field Information Displays information about the field for which the operator is viewing and testing stop/positive files.
RemitTrac Converted File Information
Displays whether the file type is a Stop or Positive file and the directory path of the form file within the RemitTrac system that is used for stop file or positive file processing
New File Directory path of a data file outside of the RemitTrac system containing the stop or positive data
Command buttons Commands used for viewing the file information, testing the stop/positive file, finding a file to test, saving the data from the Source File to the RemitTrac forms directory, and closing the window.
Command buttons New File
RemitTrac Converted File
Information
Field Information
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Loading and Testing Data
Before using the data for stop file or positive file processing, the operator must determine whether the data conforms to the setup for the scanline field. This process involves loading and testing the data contained within the data file.
During the testing phase, values in the data file are compared against the scanline field setup from the retail form. Each value must conform exactly to the character length (Len) for the scanline field. For example, if an Account field defined for stop file processing is set for 10 characters, each value in the data file must contain 10 characters to pass the testing phase.
The values in the data file will fail the testing process when:
•••• Values fail to match the scanline field length (for example, too few or too many characters)
•••• Each value is not contained on a separate line, separated by a carriage return or line feed
•••• Values fail to match the Scanline field mask
•••• Values fail to match the Scanline field classification
“Regular Expression” entries can also be used in the stop/positive data files. A Regular Expression utilizes symbols to notate the need for a flexible search for text within a scanline. For more information about the Regular Expressions that can be used for a stop/positive file, refer to your IT department. A recommended book for information about Regular Expressions is the 3rd edition of Mastering Regular Expressions, written by Jeffrey E.F. Friedl and published by O’Reilly.
Loading and Testing Data from the Incoming Source File
The Incoming Source File represents the unconverted stop or positive data file that has not been loaded into the RemitTrac system. To use data from the Incoming Source File for stop file or positive file processing, the operator must (1) select the file, (2) load and test data in the file, and (3) save the data to the RemitTrac system.
IMPORTANT: Before importing and testing the data in the Incoming Source File, make sure all data values conform to the setup for the scanline field.
Lockbox Setup 103
Selecting the Incoming Source File
The first process of using data from an Incoming Source File involves finding the file containing the stop file or positive file data.
Figure 99. Selecting the Incoming File command
The Select a New File dialog box is displayed on the screen. From the Select a New File dialog box, the operator can find the location of the stop/positive file and convert it into the system.
Testing the Data from the New File
The Test command on the Stop/Positive File Management window is used to test data in the Incoming Source File. When using the Test command, data is loaded from the New File so that the length of each string is tested against the length, mask, and classification of the scanline field information from the scanline setup.
If one or more strings within the data fail to conform to the scanline field setup information, corrections must be made to the string(s) before the operator can successfully re-test the data.
IMPORTANT: The data test will also fail if the data file contains a carriage return at the end of the file. The carriage return must be removed from the end of the file before the data can be successfully tested against the scanline field length, mask and classification.
Choose the button signified by “…” to select the external data file containing the stop file or positive pay data
104 RemitTrac Setup Manual
Once the data from the New File is tested, if the file passed, a message similar to the one in Figure 100 is displayed to confirm that the data within the New File conforms to the scanline field length, mask and classification.
Figure 100. File Passed Message
If the file did not pass, a message similar to the one in Figure 101 is displayed to inform the operator to conform the data to the scanline field length, mask and classification.
Figure 101. File Failed Message
Once the data from the New File has been approved, the data must be saved from the New File to the system using the Save New File command. After selecting the Save New File command, the file will be converted into the RemitTrac Converted File and the directory path for the newly converted file will be changed. The directory path for the RemitTrac Converted File is displayed in the format
<Drive>:\REMITRAC\Sitnnnnn\Bankccc\Lockccc\Form\frmnnnnn.Fnn
where “Drive” represents the drive letter of the server, “n” represents a numeric character between “0” and “9,” and “c” represents an alphabetic character between “a” and “z” or “A” and “Z.”
Figure 102 shows an example of the directory path within the RemitTrac system for the RemitTrac Converted File “frm00001.F01.”
Drive Directory Directory Directory where Directory Directory Number File letter where RemitTrac where Site Bank files ar e where where of the Extension of the system files are files are stored Lockbox files Form files Form of the server stored stored are stored are stored with in Field Lockbox Number Setup within the Form
Figure 102. Example of a directory path for a form file
Lockbox Setup 105
NOTE: If the Field is set up to enable Regular Expressions in the Stop/Positive file, the extension of the RemitTrac Converted File would contain an X. For example, a file that does not allow Regular Expressions would have the extension of .F04, while a file that does allow Regular Expressions would have the extension of .X04.
Viewing Existing Data in the RemitTrac Converted File
The RemitTrac Converted File represents an existing converted data file that is stored on the RemitTrac server for a stop file or positive file scanline field. After a file has been converted into the system, the data file can be viewed by using the View command on the Stop/Positive File Management window. Figure 103 displays an example of a stop file that has already been converted by the system.
Figure 103. Viewing a Stop/Postive File that has be en Converted by the System
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Testing Existing Data in the RemitTrac Converted File
The Test command on the Stop/Positive File Management window can be used to test the validity of the data in the RemitTrac Converted File.
Figure 104. Selecting the Test command
Once the data from the RemitTrac Converted File is tested, messages will be displayed to show if the data passed or failed.
Choose the Test command to test the data from the RemitTrac Converted File
Lockbox Setup 107
Understanding the Remittance Document Scanline
It can sometimes be difficult to remember the correct way to set up a scanline. The following sections give an example of a remittance document, and explain some methods to be used in creating a scanline.
Locating the Scanline on the Remittance Document
The first step in setting up the definition for a scanline is finding the location of the scanline on the remittance. Figure 105 gives an example of how this should be done.
Figure 105. Finding the Location of the Scanline
The operator can define the location of the scanline under the Transport OCR Coordinates in the Scanline section. The designations to be defined include the Height, the Start coordinate, and the End coordinate.
The Height, or the position of the bottom of the scanline from the bottom edge of the remittance document, is measured in millimeters. For example, the distance between the scanline and the edge of the document is 8 millimeters.
The Start and End coordinates are measured in characters, or tenths of an inch. The Start coordinate is measured from the leading edge of the remittance to the first character of the scanline. The End coordinate is measured from the leading edge of the remittance to the last character of the scanline. For example, the Start Coordinate is 35 character spaces, or 35 tenths of an inch, from the leading edge of the document, while the End Coordinate is 54 character spaces, or 54 tenths of an inch, from the leading edge of the document.
Start: 35 Characters End: 54 Characters
8 mm
Leading Edge of the document
108 RemitTrac Setup Manual
NOTE: It is important to give a couple of character spaces leeway when measuring the Start and End Coordinate locations, in order to account for slight shifting in the scanline location. In the preceding example, the Start Coordinate would be entered as 33 characters and the End Coordinate would be entered as 56 characters, in order to give more space for the scanline.
Indentifying the Scanline Fields on the Scanline
After locating and defining the scanline position in the Transport OCR Coordinates section, the next step is identifying the scanline fields in the scanline. It is necessary to understand the information contained in the scanline. Figure 106 shows a scanline broken down into fields.
44753230020000143000
Figure 106. Identifying the Scanline Fields
When identifying and defining the fields of a scanline, it is important to remember that the fields of a scanline are set up in the Scan Field Setup dialog box. The fields are defined in order of the leading edge, from right to left. For example, the check digit would be the first field to be defined, followed by full balance, minimum due, and then the account number.
The fields are defined by both their start position in the scanline and by the number of characters in the field. Table 65 gives an example of how the locations of the scanline fields shown in Figure 106 would be defined.
Table 65. Defining the Location of the Fields
Field Start Position Length
Check Digit 1 1
Full Balance 2 6
Minimum Due 7 6
Account Number 14 7
\
Account Number
Minimum Due
Full Balance
Check Digit
Lockbox Setup 109
Understanding the Layout of the Mark Sense Fields T ab
The Mark Sense Fields tab contains tools that define how the Mark Sense process detects marks of handwritten or typewritten information on a document. From the Mark Sense Fields tab, mark sense fields can be added, edited, or deleted.
NOTE: Mark Sense is an optional module that is purchased separately through ImageScan.
Figure 107. Mark Sense Fields for the RemitDoc tab
Table 66 describes the elements of the Mark Sense Fields tab.
Table 66. Elements of the RemitDoc Mark Sense Fiel ds Tab
Element Function Mark Sense Fields List List of mark sense fields for a remittance document.
Mark Sense Field Info Defines the field that will be stored for the mark sense zone.
Mark Sense Zones List Defines the location(s) that need to be analyzed on the remittance document to determine the Mark Sense field value.
Mark Sense Fields list
Mark Sense Zones list
Mark Sense Field Info
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Mark Sense Field Information
For the Mark Sense process to work properly, it is necessary to define certain field information about the data to be detected in the mark sense zone. Table 67 explains the information that must be defined for a mark sense field.
Table 67. Mark Sense Field Information
Field Description
Field Length Represents the number of characters in the field. The value for Length ranges from “1” to the number of characters on the scanline.
Field Name A user-assigned name for the field. Represents the name that relates to the mark-sense value processed
Classification Represents the category or type of data captured from a field on the scanline of a remittance document. The available classifications include: Account Number, Amount, Date, Change of Address, Numeric, Alphanumeric, PC numeric Short, PC Numeric Long, PC Numeric Double, Binary Data, Balance amount field, Scanline, and Form Evaluation Field.
NOTE: The Classification of Field ID 0 should always be “Scanline.”
Max Length Represents the longest string of data for the value that is expected for the mark sense field
No Mark Sense Value
Represents the default value that is stored for the mark sense field if no information is detected in any of the mark sense zones for this field on the item
Required Option that requires a value to be stored for the mark sense field. This field value is acquired either from a defined mark sense zone result or from Field Entry done by an operator.
Allow Only One Entry
Option that limits the number of zones that are evaluated for the mark sense data. With this option selected, mark sense data is taken from the first zone in which it is detected. The evaluation of subsequent zones is ignored. If this is not set, every value is returned to be stored as multiple values for the field.
Lockbox Setup 111
Defining a Mark Sense Zone
A “Mark Sense Zone” represents a defined area on the item where the mark sense data for the field is expected. A mark sense zone must be defined in every place that the Mark Sense process needs to scan for “marks”.
Figure 108. Mark Sense Zone Setup Dialog Box
Table 68 summarizes the values for defining a Mark Sense Zone.
Table 68. Mark Sense Zone Values
Value Description
Mark Sense Coords Defines the area on the document that needs analysis. The Mark Sense process scans the area within these boundaries to determine whether a mark exists. The values can be entered by either entering values for the Mark Sense Coords or by using the Mark Sense Form Editor and drawing the desired mark sense field onto the document. For more information, see “Using the Mark Sense Zone Image Editor” on page 112.
Percentage Fill Represents the percent of pixels that must be present in the zone to determine that the zone is marked
Substitute Value Represents the value that will be entered for the field if the zone is determined to be marked in this position
Image Represents the side of the item where the mark sense zone is located
NOTE: Multiple zones can be set up to analyze one field’s value. For example, a checkbox on the front of a document can be analyzed as a change of address indicator, as well as the rear of a document change of address area, to ensure that all change of address remittances are identified.
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Using the Mark Sense Zone Image Editor
The designations of a mark sense zone can be entered either by entering the Mark Sense Coordinates in the Mark Sense Setup box or by drawing the desired mark sense area directly onto the document through the Mark Sense Zone Editor. The Mark Sense Zone Editor is accessed by choosing the Image button from the Mark Sense Fields tab, as shown in Figure 109.
Figure 109. Accessing the Mark Sense Zone Image Edi tor
After choosing Image from the Mark Sense Fields tab, the Batch Selection tab of the Mark Sense Zone Image Editor window will appear on the screen, as shown in Figure 110 on page 113. From the Batch Selection tab, the batch to be viewed must be selected. In order to view a batch in the Mark Sense Zone Image Editor, a batch must already have been captured. If the lockbox has never had work run for it, this function is unavailable.
Choose Image to access the Mark Sense Zone Image Editor
Lockbox Setup 113
Figure 110. Accessing the Mark Sense Zone Image Edi tor through the Batch Selection tab
After choosing Load Batches, a list of specified batches will be displayed in the Batch Selection list. A batch must be chosen to view in the Mark Sense Zone Image Editor.
Figure 111. Choosing a batch to view in the Mark Se nse Zone Image Editor
… then choose Load Batches to view the specified batches
Specify what kind of batches
to load…
Double -click on the batch to view…
… or choose a batch and select
View Images
114 RemitTrac Setup Manual
Figure 112 shows an example of the Mark Sense Zone Image Editor, accessed through the Batch Selection tab.
Figure 112. Mark Sense Zone Image Editor
Using the Mark Sense Zone Image Editor, the operator has the ability to draw a boxed area directly on the remittance document, thereby automatically selecting the coordinates for the desired Mark Sense Zone. The Mark Sense Zone in Figure 112 is marked by the green box. Multiple zones can be selected for one field.
The Mark Sense Zone Image Editor shows the same Mark Sense Zone list that is displayed on the Mark Sense Fields tab. Any changes that are made using the Mark Sense Zone Image Editor will automatically be altered on the Mark Sense Fields tab.
The Mark Sense Zone Image Editor window also displays the Item Ratios list. These are the percentage fill ratios for the test items captured. This area shows the ratio of marked pixels in the space defined for the Mark Sense Zone to help in determining what percentage of fill ratio to use for an area.
Mark Sense Zone
Mark Sense Zones List
Item Ratios List
Lockbox Setup 115
Understanding the Layout of the MICR Tab
The MICR tab contains an option to clarify that MICR ink is present on a remittance document.
Figure 113. Retail Setup - MICR tab
Table 69 describes the elements of the MICR tab.
Table 69. Elements of the MICR Tab
Element Description
MICR Remit Doc option
Indicates to the transport that it should allow the OCR Scanline to have been printed in MICR ink on a remittance document
MICR Remit Doc Definitions list
Future Enhancement
NOTE: The definitions of Remittances with scanlines printed with MICR ink in standard ABA format are managed through the RTTable.ini file. For more information regarding identifying MICR documents as Remittance documents, see the “RTTable.ini” section of the INI Configuration document of the RemitTrac Setup Manual.
MICR Remit Doc Definitions List
MICR Remit Doc option
116 RemitTrac Setup Manual
Retail Forms – Pocket Assignments
Overview
The Pocket Assignments tab contains information for how items sort on the transport during workflow processing. Pocket assignments are associated with a specific retail form and are tied to a specific transport for handling pocket sorting during a workflow process.
NOTE: Before pocket assignments can be created for the lockbox account, deposit outlines must first be set up for both payments and remittance documents. See “Deposit Outlines” on page 47 for information about creating a deposit outline.
Understanding the Layout of the Pocket Assignments Tab
Figure 114. Retail Form Setup - Pocket Assignments Tab
Encode Pass Pocket Assignments
Capture Pass Pocket Assignments
Reject Pocket Assignments
Transport Description
Workflow Passes
Transport List
No Encode Pass
Lockbox Setup 117
Table 70 describes the elements of the Pocket Assignments tab.
Table 70. Elements of the Pocket Assignments Tab
Element Description
Transport Description Represents the user-defined name, model or description of the transport
Transport List Displays the list of transport profiles that use the defined pocket assignments
No Encode Pass Option to not require the encode pocket setup for a retail form. This allows a batch to be run on a transport that does not have encode capability.
Workflow Passes Represents the two types of workflow available for retail processing. The two workflow types are:
• Two Pass • Pass and a Half
Reject Pocket Assignments
Represent the pocket(s) to use for outsorting items rejected during processing
Capture Pass Pocket Assignments
Represent the pocket(s) to use for sorting payments and remittance documents during the Capture Pass
Encode Pass Pocket Assignments
Represent the pocket(s) to use for sorting payments and remittance documents during the Encode Pass
Adding a Transport ID
A Transport ID must be added for each machine on which documents will be run. The Transport ID is added through the Transport List. The Transport ID represents a numeric value that uniquely identifies a transport. When a transport profile is created, a Transport ID is automatically assigned to the transport. As transport profiles are added, the Transport ID value increments to the next number.
NOTE: The Transport ID must match the value listed in the “Machnumb” section of the Trakcntl.ini file. The Trakcntl.ini file is stored in the Remitrac\Sitnnnn directory on the Database Server, where “nnnn” represents the Site ID number.
118 RemitTrac Setup Manual
Caution: When a transport profile is deleted, all pocket assignments associated with the transport for rejected, captured and encoded items are deleted. If a transport profile is missing, the batches will be purged on that transport during processing.
Selecting a Workflow Pass For each transport profile, pocket assignments can be associated with a particular workflow pass. Pocket assignments must be defined for workflow passes based on the type of work being processed for the lockbox account.
NOTE: Because the default workflow pass can be changed during Registration, it is recommended that pocket assignments be defined for both workflow passes.
Table 71 describes the workflow passes.
Table 71. Workflow Processes
Workflow How Items Process Through Transport
Pass and Half Payments and remittance documents sort to separate pockets during the Capture Pass. Only the payments are processed at the transport during the Encode Pass. This option is generally used when all payments are accepted and no special endorsement is required on the remittance.
Two Pass Payments and remittance documents sort to same pocket during the Capture Pass, but sort to separate pockets during the Encode Pass. This option is generally used with stop/positive file processing where numerous checks may not get processed and/or remittances require a specific endorsement.
Setting Pocket Assignments Once the transport profile is created, pocket assignments must be set for how items are processed at the transport. Depending on the selected workflow process, values must be provided for the pocket assignments described in Table 72.
Table 72. Pocket Assignment Values
Value Description
Start Pocket Beginning pocket number where documents are to be sorted during the transport process
Num. of Pockets Total number of pockets where the specific document type can be sorted during the transport process
Lockbox Setup 119
Setting Pocket Assignments for the Capture Pass
The pocket assignments defined for the Capture Pass depend on the workflow process selected. The “pocket assignment” for each workflow pass includes a beginning pocket number and the number of pockets to use for each document type processed in the Capture pass.
For Pass and Half workflow processing, payments, remittances and scan docs sort to different pockets during the Capture pass. Since these documents sort to different pockets, a pocket assignment must be defined for both the payments and remittance documents. Figure 115 is an example of pocket settings for Pass and Half workflow on an 8 pocket machine.
Figure 115. Pass and Half settings for the Capture Pass
For Two Pass workflow processing, all items sort to the same pockets during the Capture Pass. Because documents sort to the same pockets, only a single pocket assignment needs to be defined for payments. Figure 116 is an example of pocket settings for Two Pass workflow on an 8 pocket machine.
Figure 116. Two Pass settings for the Capture Pass
NOTE: The pocket assignments should not overlap and should not exceed the available number of pockets available on the transport.
120 RemitTrac Setup Manual
Setting Pocket Assignments for the Encode Pass
Figure 117. Pass and Half Settings for the Encode P ass
Figure 118. Two Pass Settings for the Encode Pass
The pocket assignments defined for the Encode Pass depend on the workflow process selected and the deposit outlines defined for the lockbox. Once a pocket assignment is defined for an outline, the pocket assignments will appear in the Encode section of the Pocket Assignments tab.
Table 73 describes the types of information displayed in the Encode Section.
Table 73. Encode Section Information
Column Description
Outline ID Represents the deposit outline number for the document type
NOTE: Currently, the outline number for payments is 1 and the outline number for remittances is 2. The outline number for stop/positive rejects is 3.
Start Pocket Represents the beginning pocket number for sorting during the Encode Pass
Num. of Pockets Represents the total number of pockets for sorting a specific document type during the Encode Pass
For Pass and Half workflow, the pocket assignments must be defined for the payment outline (Deposit ID 1), since only the payments are processed during the Encode Pass.
For Two Pass workflow, pocket assignments must be defined for both payments and remittance documents, since both document types are processed during the Encode Pass.
Lockbox Setup 121
NOTE: Deposit outlines must first be set up for the lockbox account before pocket assignments can be set for the Encode Pass.
To set pocket assignments, the outline(s) for the selected workflow pass Deposit IDs must be added for both payments (Deposit ID 1) and remittance documents (Deposit ID 2) and then set the beginning pocket and number of pockets for each outline. If an operator would like to include a pocket assignment for rejects, a Deposit ID must be added for stop/positive file rejects (Deposit ID 3).
Caution: When Encode Pass pocket assignments are deleted, the transport will be unable to control item sorting by document type. For example, if the pocket assignments for payments are deleted, the transport will be unable to control Encode Pass sorting for payments. Because the payment pocket assignments are missing, batches containing the payments will be purged during Encode pass processing at the transport.
122 RemitTrac Setup Manual
11 Forms – Item Processing
Overview
The Forms tab contains settings that enable the operator to control the use of Item Processing forms for the lockbox. The Item Processing tab gives the ability to define the Credit Card processing methods for a specific form.
Understanding the Layout of the Item Processing tab
The Item Processing tab contains the Disable NONE Form Option, which is an option to now allow an operator to pick the “None” option at Registration for the Item Processing form, and the list of current Item Processing Forms for the lockbox.
Figure 119. Lockbox Setup – Forms - Item Processing section
Copying an Item Processing Form
An operator can copy an Item Processing form from one lockbox to another or copy the same form within the same lockbox. The process for copying a form is the same for the Item Processing, Data Entry and Retail forms. For more information about copying a form, please refer to “Copying a Form” on page 61.
Item Processing Forms List
Command buttons
Command buttons
Disable NONE Option
Lockbox Setup 123
Understanding the Item Processing Form Setup Window
The Item Processing Form Setup window is accessed through the Add or Edit command form the Item Processing tab. Through the Item Processing Form Setup window, an operator can define certain information about the form, including Credit Card Processing options and redaction fields. Table 40 explains the elements of the Item Processing Form Setup window.
Table 74. Elements of the Item Processing Form Set up window
Element Description
Item Processing Form Information
Provides information about the Item Processing Form
Options Tab Allows the operator to define different options for the Item Processing Form
Transport Tab Allows the operator to specify which images that have been processed through Credit Card Processing are captured and stored
Document Fields Tab Allows the operator to add, delete, view and modify specific fields in an Item Processing Form
Command Buttons Commands that enable the operator to verify the form, save any changes and close the Lockbox Setup.
Understanding the Item Processing Form Information
Figure 120. Item Processing Form Information
Table 75 describes the Item Processing form information.
Table 75. Item Processing Form Information
Field Description
Name Name of the Item Processing form. This field is configurable by the operator.
Num. Sequence order in which the form was created for the lockbox. This value is assigned by the system.
124 RemitTrac Setup Manual
Table 75. Item Processing Form Information (continu ed)
Field Description
Description Area to provide a description of the item processing form. This field is configurable by the operator.
Status Current status of the item processing form. The statuses can be: Default: The form is the default form used by the lockbox. Active: The form can be modified and used. Locked: The form cannot be modified, but can be used. Deleted: The form cannot be modified or used, and is useful for viewing purposes only.
Verified Displays whether the form has passed or failed the Verification test. This field is used in conjunction with the Verify command and is not configurable by the operator.
Modification Dates
Records certain dates about the item processing form. Created on: Displays the date on which the form was added and saved Modified on: Displays the last date on which the form was modified by: Displays the operator who last modified the form Deleted on: Displays the date on which the form was deleted
by: Displays the operator who deleted the form
Performing Verification of an Item Processing Form
Figure 121. Verify Command
The Verify Command is used to test the validity of the information defined in an Item Processing form. If a form passes verification, the word Pass will be displayed in the Verified field of the Item Processing Form Description. If a form fails verification, the word Fail will be displayed in the Verified section.
The Verify Command
Lockbox Setup 125
Managing the Options Tab
The Options tab allows the operator to define different options for the Item Processing Form, such as when to enable MICR Repair and whether to require an Image Print.
Figure 122. Item Processing Form Setup – Options Ta b
Table 76 describes the elements of the Item Processing Form Setup Options tab.
Table 76. Elements of the Options Tab
Element Description
Field and Image Options
Not configurable by the operator. These options are automatically selected by the system, depending on the configurations that are defined in the Document Fields tab.
MICR Repair Options
Allow the operator to enable MICR Repair, to select which fields should undergo the Repair process, and to choose when to perform MICR Repair. By default, these fields are not selected.
Field and Image Options
Credit Card Processing
Options
MICR Repair Options
Reports Option
126 RemitTrac Setup Manual
Table 76. Elements of the Options Tab (continued)
Element Description
Credit Card Processing
Options to define the credit card processing. The Provide Credit Card Info option is not configurable by the operator. This option is automatically selected by the system, depending on the configurations that are defined in the Document Fields tab. The Credit Card Data Entry option defines if the batch containing credit card information should be sent to data entry and the Authorization Required option defines if and when the credit card information needs to be verified by the customer.
NOTE: If the option to send encrypted data to Data Entry is selected, all the data fields for the item will be encrypted in the BDF file when sent to Formware. This does not apply to the Lockbox, date, batch, transaction or sequence numbers, which are formware fields 3-8.
Reports Option Gives the option of overriding the Image Print settings in Lockbox Setup and not printing the images of the Credit Card items that are using this form
Managing the Transport Tab
Figure 123. Item Processing Form Setup – Transport Tab
The Transport tab allows the operator to select which images that require Credit Card Processing are captured and stored in the database. If the batch is set up for Credit Card
Lockbox Setup 127
Processing, the options that are selected will override any Image Capture options that have been selected on the Transport Options tab in Lockbox Setup. The Transport options that are selected in the Item Processing setup will only apply to the Credit Card items.
Managing the Document Fields Tab
Through the Document Fields tab, an operator can manage the fields that are defined for the Item Processing Form.
Viewing the All Fields Tab
The All Fields tab displays the fields that have been defined for the item processing form. It shows each document’s identification number, field name and type, character length, and the processes for which the field will be undergo during Item Processing.
Figure 124. Item Processing Form Setup – Document F ields Tab – All Fields Subtab
128 RemitTrac Setup Manual
Managing the Document Types Tab
The Document Types tab gives the ability to view, add, edit and delete fields in an Item Processing form.
���� To Add a Document and Fields
1. Select Add.
Figure 125. Adding a document type
The Add Document Type window will be displayed.
2. Select the desired document type and select Save.
Figure 126. Choosing a Document Type
Select Add to add a
document type
Lockbox Setup 129
The chosen document type will be displayed in the Document area.
3. Select Add to define the fields on the selected document type.
Figure 127. Adding a Processing Field
The Add an Item Processing Field window is displayed.
4. Select an Item Processing Field to define and select OK.
Figure 128. Selecting an Item Processing Field to d efine
The chosen Item Processing Field will be displayed in the Fields area.
Select Add to add a Processing field
130 RemitTrac Setup Manual
5. Select Edit to define the item processing field.
Figure 129. Defining an Item Processing field
The Item Processing Field Setup window is displayed.
Figure 130. Understanding the Item Processing Field Setup Window
Select Edit to modify a Processing field
Lockbox Setup 131
Table 77 summarizes the fields on the Item Processing Field Setup window.
Table 77. Item Processing Field Setup Fields
Field Description Field Num Number of the selected field. Not configurable by the operator.
Field Name Name of the selected field. Not configurable by the operator.
Classification Type of field. Not configurable by the operator.
Length Data length for the field. Represents the number of characters in the field.
Processing Types
Specifies the type of processes for the field. Selecting Encryption will encrypt the data in the field, Mask Data will not allow an item to be viewed in Research Editor unless the operator has sufficient security rights, and Redaction of Image requires that the field be redacted.
Redaction Mask
Defines how the field will be redacted, or “covered up”. The number of characters in the redaction mask must equal or be less than the number of characters that is defined in the length field. Select the Instructions button for more information on defining a redaction mask.
Display Mask Defines how much of the field can be displayed to the operator after being keyed. Select the Instructions button for more information on defining a display mask. If a display mask is not defined, the mask will default to the redaction mask.
Zones Area Area to define and display the redaction zones on a document.
6. Define the length of the field, the required processes, and the redaction and display masks. Refer to Figure 131 for an example of a redaction mask.
The following is an example of how a redaction mask could be made:
If the field length is 5 characters long and only the last two characters could be displayed, the redaction mask field would be defined as “***XX”.
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7. Select Image Editor to define the redaction zones.
Figure 131. Accessing the Image Editor
The Zone Image Editor window will be displayed.
Select Image Editor to define
the zones
Lockbox Setup 133
8. Select Load Batches to display a sample document on which to define the redaction zones.
NOTE: You will need to have previously run a sample batch that contains documents on which a redaction zone can be obtained.
Figure 132. Loading Batches
The batches that meet the requirements will be displayed.
Select Load Batches
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9. Select a batch.
Figure 133. Selecting a Batch
Figure 112 shows an example of a document in the Zone Image Editor, which is accessed through the Batch Selection tab.
Figure 134. Zone Image Editor
Using the Zone Image Editor, the operator has the ability to draw a boxed area directly on the document, thereby automatically selecting the coordinates for the
Double -click on the batch to
view…
… or choose a batch and select
View Images
Image Viewer
Defined Zones List
Lockbox Setup 135
desired Zone. Multiple zones can be selected for one item.
There are two types of zones that can be defined for an item. The first type is called the Redaction Zone, which is the default zone that is used in the Manual Redaction module. The second type of zone is the Display zone, which is the zone that will be used in the Credit Card Processing module. If this zone is not defined, the Redaction zone will be used.
NOTE: The Redaction zone MUST be defined.
10. Choose which zone you would like to define. The Redaction zone type is chosen by default.
Figure 135. Choosing a Zone Type to Draw
The Change Draw Zone Type window is displayed.
11. Select the type of zone to define and click OK .
Figure 136. Change Draw Zone Type Window
Click the “…” button to select a zone type
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12. Using your mouse, draw a box around the field that you would like to be redacted. If the zone is a Display zone, this field will be apparent to an operator accessing the Credit Card module during Item Processing. Working similarly to the Mark Sense module, the zone that is marked will indicate the location of the field to the keying operator. If the zone is a Redaction zone, this will be apparent to an operator accessing the Manual Redaction module during Item Processing and will assist in the redaction of the item. If there is no Display zone defined, the Redaction zone will appear in the Credit Card module.
Figure 137. Drawing a Zone
After drawing the Redaction zone, the zone will turn a light blue color. After drawing the Display zone, the zone will turn a light green color.
Figure 138. Redaction Zone after Being Drawn
Lockbox Setup 137
Sample Credit Card Processing Module Image
The following is an example of how a display field that has been defined through the Lockbox Setup Item Processing Form will appear in the Credit Card Processing module during Item Processing. The purple display zone was defined in the Zone Image Editor in Lockbox Setup.
Figure 139. Example of a Redacted Field
Redaction Zone
Field Entry box
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Sample Redaction Module Image
The following is an example of how a redacted field that has been defined through the Lockbox Setup Item Processing Form will appear in the Redaction module during Item Processing. The gray redaction zone was defined in the Zone Image Editor in Lockbox Setup. The redaction instructions were created based on the mask instructions that were defined in Lockbox Setup.
Figure 140. Example of a Redacted Field
Redaction Zone
Redaction Instructions
Lockbox Setup 139
12 Billing
Overview
The Billing tab contains information needed for billing charges to the lockbox customer account. This information includes the charge account number used for debiting (paying) charges for lockbox services.
Understanding the Layout of the Billing Tab
Figure 141. Lockbox Setup - Billing Tab
Table 78 describes the elements of the Billing Tab.
Table 78. Elements of the Billing Tab
Element Function
Charge Account Number
Area to enter the charge account number that is used for charging lockbox services to a lockbox client. This field is included in the billing output services to the lockbox customer. Up to 20 numeric characters can be entered.
Frequency Future Enhancement
Frequency options
Charge Account Number text box
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13 Output For more information about the Output tab, refer to “Site, Bank and Lockbox Setup - Output” in the Site Section of the RemitTrac Setup Manual.
14 DLN For more information about the DLN tab, refer to “Site, Bank and Lockbox Setup – DLN/Ranging” in the Site Section of the RemitTrac Setup Manual.