U0424 Vendor ACH
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U0424 Vendor ACH

End of Period symbol U04 End of Period

U0424 Vendor ACH

EOP Only Yes
Frequency Daily
Sequential Updates No
Skip Notes No restrictions

Overview symbol For more information about End of Period,
refer to U04 End of Period Overview.

 

The Vendor ACH module selects disbursements which were identified as Vendor ACH when initially entered in the U0101 Book Lease update—that is, DISBURSEMENT TYPE is NEWA. The module reviews disbursements for the current portfolio from the last date Vendor ACH ran through 2 business days from the EOP submit date.

If the PRENOTE USED switch is set to Y for the portfolio selected, prenotification time criteria will be verified as NACHA Rules require, and prenotification entries will be created for vendors who have not yet been notified. (Vendors with CCD Standard Entry Class Code will be prenoted only if the PRENOTE CCD switch is set to Y for the portfolio.)

A standard ACH file is created for this portfolio to be uploaded into the Federal Reserve ACH system the following morning. This allows the user to enter as disbursement date the actual day the vendor should be credited. The Vendor ACH module picks up these records in advance (based on the ACH grace days) and submits them to the Federal Reserve for processing on the actual disbursement date.

The vendor account credited is input through U0201 Vendor and stored in the rlr Vendor table. The account debited is stored in the rac Preauthorized Payments Control table, the same file/account used in the PAP/ACH module to credit lease payments. Records are stored by portfolio.

EOP U0117 Check Disbursal runs and disburses all checks due to be disbursed today. It will not process NEWA checks. Once a check has been processed by the Vendor ACH module, it will be skipped if LeasePak encounters it again on subsequent runs.

The Vendor ACH module processes all rck Cashier Check records for the selected portfolio. Based on the last time Vendor ACH was run for the selected portfolio, the module selects all RCK records of DISBURSEMENT TYPE = NEWA that have not been printed (or have been voided since the last Vendor ACH run) that are to be disbursed on or before today (EOP submit date) plus the ACH Grace days. After successfully processing each RCK record, the module updates it with a print flag of P. For void checks, debit entries are created, and the flag V is not changed.

If prenotifications are used and time criteria are not satisfied, the entry will be included in the Exception Report and no live dollar entry will be sent.

The field D_LAST_VACH_S is also updated with the date when EOP runs. The scratch file name is DSPP_Pxx_VACH_YYMMDD.DAT. Where YYMMDD represents the primary disbursement date, i.e., the date the vendor is due to receive the money. When the Vendor ACH module starts up, it deletes any existing DSPP_Pxx_VACH_YYMMDD files. The Bank file is called Pxx_VACH_BANK_YYMMDD.DAT. Any pre-existing copies of this file are deleted as well. This prevents double posting problems.

Before running Vendor ACH, U0720 Weekend and Holiday Assignment should be set.

If any Dealer Alert switches are turned on in U0201 Vendor, the owed amount will not be disbursed. An output exception file will display the held-back check. If the Suspense Override Date is populated, the owed amount will be disbursed only up to the specified date.

Using Vendor ACH with WDE
Australian PAP Method

With WDE, if the Vendor's PAP Transit ID and Account Number are blank, U0424 Vendor ACH will still create a check, inserting spaces where the information would normally be in the bank file. LeasePak produces the U0424C Vendor ACH Exception report in conjunction with Vendor Alert only.

WDE: Vendor ACH Bank File Format

Header Record
Character PositionField SizeField DescriptionSpecificationLeasePak Value
11Record type 0Must be 00
2-1817BlankMust be blank filledBlank
19-202Reel sequence numberMust be numeric commencing at 01, right justified, zero filled01
21-233Name of user's financial institutionMust be approved financial institution abbreviation--Westpak's abbreviation is WBCrac.fin_inst_s (set in U0212 Portfolio→PAP/ACH Control File)
24-307BlankMust be blank filledBlank
31-5626Name of user supplying fileMust be preferred specification from application, left justified, blank filled; cannot be blankPortfolio name--truncate to 26 characters
57-626Number of user supplying fileMust be user identification number which is allocated by APCA; must be numeric, right justified, zero filledrac.o_id_num_s (Originator ID)
63-7412Description of entriesMust not be blank; left justified, blank filledHardcoded by LeasePak
75-806Date to be processedMust be numeric, format DDMMYY; zero filledPrimary disbursal date
81-12040BlankMust be blankBlank
Detail Record
Character PositionField SizeField DescriptionSpecificationLeasePak Value
11Record type 1Must be '1'1
2-87Bank/state/branchMust he numeric with a hyphen in character position 5; character positions 2 and 3 must equal valid financial institution number; character position 4 must equal a valid State number (0-9)rlr.inst_id_s (Vendor BSB)
9-179Account number to be debited or creditedOnly numbers, hyphens, and blanks are valid, must not contain all blanks or zeros; leading zeros which are part of a valid account number must he shown--for example, 00-1234; right justified, blank filledrlr.p_acct_s (Vendor account)
181Indicator(blank)Blank
19-202Transaction codeMust be one of the valid industry standard transaction codes (see list); only numbers valid'50'
21-3010AmountNumbers only, must be greater than zero; format in cents, no punctuation; right justified, zero filled, unsignedrck.amt_d (check amount)
31-6232Title of account to debited or creditedMust not be blank; preferred format: last (name) first middle (with only spaces in between); left justified, blank filledrlr.nam_s (Vendor long name, truncated to 32 characters)
63-8018Lodgment referenceReference as submitted by the user indicating details of the origin of the entry--for example, payroll number, invoice, contract number; left justified, blank filled; cannot be all blankPortfolio number + company number + office number + unit number (of asset/unit)
81-877BSB number, format xxx-xxxBank(financial institution)/state/branch and account number of user to enable retracing of the entry to its source if necessary; only numbers and hyphen; character positions 81-82 must be a valid financial institution number; character position 83 must be a valid state number (0-9); character position 84 must he a hyphenrac.o_inst_id_s  (Orix's BSB number)
88-969Account numberRight justified, blank filledrac.o_acct_num_s (Orix's account number, numeric only)
97-11216Name of remitterName of originator of the entry (may vary from name of the user); all characters valid, cannot be all blank; left justified, blank filleddck.unit_s ('PRO -' + check asset number); not a critical field
113-1208Amount of withholding taxOnly numbers valid; format in cents, no punctuation; right justified, zero filled, unsigned00000000
File Total Record
Character PositionField SizeField DescriptionSpecificationLeasePak Value
11Record type 7Must be '7'7
2-87BSB format fillerMust be '999-999'999-999
9-2012BlankMust be blankBlank
21-3010File (user) net total amountNumeric only; difference between file debit and credit total amounts; format in cents, right justified, zero filled, unsigned0000000000
31-4010File (user) credit total amountNumeric only; credit total amounts; format in cents, right justified, zero filled, unsignedTotal PAP/ACH 'NEWA' check amounts disbursed for the portfolio
41-5010File (user) debit total amountNumeric only; debit total amounts; format in cents, right justified, zero filled, unsigned0000000000
51-7424BlankMust be blankBlank
75-806File (user) count of Type 1 recordsNumeric only; right justified, zero filledNumber of detail records
81-12040BlankMust be blankBlank

 

U0424A Vendor ACH Report

The U0424A Vendor ACH reports all checks disbursed to Vendors and includes the following information:

  • VENDOR NUMBER

  • VENDOR NAME

  • ACH TRANSIT ID
    The Automated Clearing House Transit identification number is displayed.

  • ACH ACCT NUMBER
    The Automated Clearing House account number is displayed.

  • CHK NUMBER
    The automatically generated check number is displayed.

  • DISBURSE DATE
    The date of disbursement is displayed

  • AMOUNT
    The amount of disbursement is displayed.

 

U0424B Summary of Vendor ACH Bank File Report

This report contains a summary of vendor ACH transactions.

  • NO OF TRANSACTIONS
    The total number of transactions is displayed.
  • AMOUNT
    The total amount of disbursement is displayed

 

U0424C Vendor ACH Exception Report

The U0424C Vendor ACH Exception reports all checks not included in the scratch (and bank) file because Vendor was not prenotified on time and includes the following information:

  • VENDOR NUMBER

  • VENDOR NAME

  • ACH TYPE
    The Vendor ACH Type (Standard Entry Class Code) is displayed.

  • ACH TRANSIT ID
    The Automated Clearing House Transit identification number is displayed.

  • ACH ACCT NUMBER
    The Automated Clearing House account number is displayed.

  • CHK NUMBER
    The automatically generated check number is displayed.

  • DISBURSE DATE
    The date of disbursement is displayed

  • PRENOTE DATE
    The date the prenotification was sent is displayed

  • AMOUNT
    The amount of disbursement is displayed