A proprietary suite of innovative web-based reporting and account management tools Provides an electronic access point for retrieving credit card processing.

Slides:



Advertisements
Similar presentations
Lauren Bonilla Entech Rental Management Software Navigate 08: Charting Your Course for the Future Bank Reconciliation.
Advertisements

AcqENGIN Functional Review © 2010 M2. All rights reserved.
GALVESTON COUNTY, TX P-CARD TRAINING GALVESTON COUNTY.
What’s New in GE Part 1 (AR, AP, PO, Job Cost Presented by: Derek Kratz.
PantherSoft Financials Smart Internal Billing. Agenda  Benefits  Security and User Roles  Definitions  Workflow  Defining/Modifying Items  Creating.
Expense Report Training
Imagination at work. See tutorial regarding confidentiality disclosures. Oracle e-Business Suite Oracle Receivables for Beginners Csilla Noé Attila Ábel.
Practice Insight Instructional Webinar Series Reporting
1 Introduction General Accounting is responsible for managing the University’s general ledger accounting system. The General Accounting office’s main goal.
Welcome and Orientation Find dates an easy way… Click on one carat-go back one month, click on two carats-go back one year. Hold on box & slide.
6 th Annual Focus Users’ Conference 6 th Annual Focus Users’ Conference Point of Sale Presented by: Natasha Leon Presented by: Natasha Leon.
Biller Direct Getting Started
Page 1 Customer Platform: Basic Services Intuit Financial Services University Business Banking Certification Training.
University Web Services Nika Nestor / Alex Volfson 09/29/2006.
6 th Annual Focus Users’ Conference 6 th Annual Focus Users’ Conference Accounts Receivable Presented by: Robert Myers Presented by: Robert Myers.
Customer Service Module Course Contents Table of Contents Enter A Request Search A Request Create Invoice (Funeral home request) Search Invoice Manage.
Procurement Card Training Strategic Account Management (SAM)
WHAT IS A CREDIT CARD.. A credit card is part of a system of payments named after the small plastic card issued to users of the system. It is a card entitling.
McGraw-Hill/Irwin Introduction to QuickBooks Pro, 2004 © 2005 The McGraw-Hill Companies, Inc., All Rights Reserved. Chapter 4 Bank Reconciliation.
2013.  Reconcile your checking account  Create bank reconciliation reports  Find errors during reconciliation  Correct errors found during reconciliation.
Depository Accounts Reconciliation CASH, CHECKS, E-CHECKS and LOCKBOXES 1.
Practice Insight Instructional Webinar Series Reporting
Become an ePay Program Payments Expert!
1 CADE Finance and HR Reports Administrative Staff Leadership Conference Presenter: Mary Jo Kuffner, Assistant Director Administration.
At the login page, you will enter the following: Click “Logon” Do not use dashes in User ID.
IdentiTrip 2006 Our Skills Making your Job Easier.
Employee Self Service (ESS) Version Employee Self Service  access from any computer  view their elected withholding, earnings summary, check.
Solutions Summit 2014 Discrepancy Processing & Resolution Terri Sullivan.
NetService Cardholder Tutorial GE Corporate Payment Services 4246 South Riverboat Road Salt Lake City, Utah Copyright Information.
WORKS ALLOCATION AND SIGN OFF OF EXPENSEWORKS ALLOCATION AND SIGN OFF OF EXPENSE Works users can allocate and/or sign off as soon as transactions appears.
WORKS LOGIN:
FINANCIAL AWARENESS Checking & Savings Accounts Lesson 3: Managing a Checking Account – Part 2 Instructor PowerPoint Copyright © 2009, Thinking Media,
Smart Data OnLine Training
AQS Web Quick Reference Guide Changing Raw Data Values Using Maintenance 1. From Main Menu, click Maintenance, Sample Values, Raw Data 2. Enter monitor.
AOW - 1 Account on the Web (AOW) Reference Guide Page Registration 2 Accessing Your Accounts/Invoices 3 Viewing Invoices 4-5 Filtering and Sorting Invoice.
Solutions Summit 2014 SmartAnalysis Reporting Terri Sullivan.
RemoteNet Presented By The Systems House Inc.. Enhancements Order by multiple selling units of measure Updated the webpage’s look and feel –Style sheets.
RemoteNet Presented By The Systems House, Inc.. Enhancements Order by multiple selling units of measureOrder by multiple selling units of measure Web.
Welcome and Orientation Find dates an easy way… Click on one carat-go back one month, click on two carats-go back one year. Hold on box & slide.
NextGen Budgeting Presented by: Julie Carroll Local Government Corporation Resource 2015.
Access Online Cardholder Transaction Approval Training 1 Client Logo.
Slideshow 2 Setting Up Bank Services, Tax Services and Schedule Codes.
General (Add/Edit General Ledger Accounts) The Add/Edit General Ledger Accounts screen allows you to: Add new or maintain existing GL Accounts View/edit.
IdentiTrip 2006 Key Features & Benefits All data imported from MIS system Quick MIS upload annually for new intake and class changes No manual input of.
IdentiTrip Key Features & Benefits All data imported from MIS system Quick MIS upload annually for new intake and class changes No manual input of pupil.
Student Fees A-Z. Ed Kobus This document contains confidential proprietary trade secret information of SunGard K-12 Education. This file is not to be.
CENTURY 21 ACCOUNTING © 2009 South-Western, Cengage Learning LESSON 5-1 How are checking accounts utilized in a sole proprietorship?
January 2016 Slide 1 Monthly P-Card Reconciliation Job Aid.
Corporate Customers Basic Services Intuit Financial Services University Business Financial Solutions Certification.
VeriFone Virtual Terminal Web-Hosted Hosted Payment Gateway
PestPac Software. Leads The Leads Module allows you to track all of your pending sales for your company from the first contact to the close. By the end.
Please dial in to join us. Commercial OR DSN Access Code: #
Payments Made Clear; Payments Made Quick™ HealthCare Payment Solutions Patient Friendly Payment Solutions.
On-Line BankCard Center Presentation Cardholder Role During the Presentation click the mouse on this button to move back a slide During the Presentation.
T O S H I B AT O S H I B A Fraud & Disputes – Know Who You Are Trading With.
Bank Reconciliation. Process of balancing your check book Compare your bank statement to your records in QuickBooks to ensure that bank shows what you.
1 Logging into the new PCard (PaymentNet) System: PAYMENTNET * Introduction * May use IE 8.0 or greater or Firefox * Do not.
1 © Charles Schwab & Co., Inc. All rights reserved. Member SIPC ( ). Electronic Trading The Charles Schwab Corporation (Schwab) provides services.
PCard Training Logging into the new PCard (PaymentNet) System: * Introduction * May use IE 8.0 or greater or Firefox * Do not.
Reports and Graphs Chapter 5. PAGE REF #CHAPTER 5: Reports and Graphs SLIDE # 2 Objectives Describe several types of QuickBooks reports Set QuickBooks.
Welcome to HICAPS CSS!.
Centralized Settlement
Understanding Contracts and Statements
Membership/Post Processing - Process Membership
Understanding Contracts and Statements
Expense Report Training
University of South Florida Credit Card Presentation
Expense Report Training
Online Reporting.
Membership/Post Processing - Process Membership
Presentation transcript:

A proprietary suite of innovative web-based reporting and account management tools Provides an electronic access point for retrieving credit card processing information, consolidated transaction reporting and reconciliation data Allows a user to customize queries and export data for further analysis Can be used by Partners or Merchants to: –Track trends –Identify and address problem areas that need special attention

Recon $olution Main Module –Delivers back-end transaction and reconciliation data customized to user’s preferences –Groups reporting by category for ease of access Batch and transaction detail Interchange qualification Funding history Fee history Chargeback and retrieval history Monthly merchant activity statements –Exports to Excel or can be downloaded to a comma-delimited format for further analysis

Optional modules include: –Deci$ionable Data Reports Interchange Qualification History Chargeback and Retrieval Credits without Offsetting Debits –Exception Item Re$pond Web-based workstation Receive and respond to Chargeback and Retrieval notices –In$tant Alerts Instant notifications of exception conditions and financial risks delivered right to your inbox

Search Options on all reports include –Date Ranges –Transaction Types –Cardholder numbers –Authorization Numbers –Transaction Amounts –Authorization Amounts –Batch numbers –Case numbers

Batch and Transaction Reports Get a summary snapshot of previously settled payment card activity by day or date range View individual batch or transaction detail records Display results by merchant location, card type or batch Export to Excel or can be downloaded to a comma-delimited format for further analysis

Batch and Transaction Reports

Batch/Transaction Reports All Transactions Report Can be accessed as a drill down from the Batch Detail Report Shows detail for all transactions within the selected batch regardless of qualification level Includes both settled and non-settled activity. Data elements include cardholder number, dollar amount and actual qualification level

Batch/Transaction Reports All Transactions Report

Batch/Transaction Reports Batch Detail Provides a summary for each batch of transactions submitted during the specified date range Includes counts and amounts of the batch totals, settled totals, non-settled totals and adjustments. Each row represents one submitted batch Allows drill down to transaction level detail to view qualified, non-qualified, or all transactions in a particular batch

Recon $olution Batch Detail

Batch/Transaction Reports Batch Exception Lists batches closed more than 2 days after opened Helpful in identifying locations that are not closing their batches in a timely manner resulting in avoidable Interchange downgrades Displays data by merchant location Provides information on the batch number, and its corresponding item counts and dollar amounts

Recon $olution Batch Exception

Batch/Transaction Reports Card Type Analysis Provides a summary of submitted deposit totals sorted by merchant number by card type for the specified date range Displays both settled and non-settled card types Includes dollar amounts and transaction counts, corresponding percentages, and an average ticket amount by card type Allows for easy comparison of location-to- location or location-to-total performance

Recon $olution Card Type Analysis

Batch/Transaction Reports Card Type Summary Individual Location Summary –Provides submitted deposit totals by card type for the selected merchant location during the specified date range –Totals include settled and memo-posted deposit amounts and transaction counts By Merchant Summary –Presents data by merchant number and by card type for the specified date range –Totals include both settled and memo-posted deposit amounts and transaction counts

Recon $olution Card Type Summary

Batch/Transaction Reports Card Type Summary by Merch Provides a summary of submitted deposit totals sorted by merchant number and by card type for the specified date range Totals include both settled and non-settled card types, including dollar amounts and transaction counts

Recon $olution Card Type Summary By Merchant

Batch/Transaction Reports Recap Summary Recaps the total dollar amount paid to the merchant during the specified date range according to funding category Starts with batch totals, then deducts memo-posted card types such as such as Amex or Discover Adjusts for exceptions items including DCNs, miscellaneous financial adjustments, chargebacks and chargeback reversals Results in a calculation of a net paid deposit amount funded via ACH transfer

Recon $olution Recap Summary

Batch/Transaction Reports Debit Card Analysis Recaps debit card acceptance activity by merchant location for the specified date range Distinguishes between pin-based and signature- based activity including dollar amounts, item counts and corresponding percentages for each Enables a merchant to identify cardholder trends; review effectiveness of current debit procedures at the point of sale

Recon $olution Debit Card Analysis

Batch/Transaction Reports Debit Monthly Analysis Similar to the Debit Card Analysis report Generated monthly Includes graphs to help the user more readily identify trends relating to online and offline debit activity

Recon $olution Debit Card Monthly Analysis

Interchange Qualification Reports Provide a recap of how transactions are qualifying for Interchange Allow a merchant to readily identify locations incurring a high percentage of downgraded transactions Can be indicative of a need to improve card acceptance procedures or upgrade the payment solution in use at the point-of-sale

Interchange Qualification Reports

Interchange Qual Reports Qualified Transactions Shows transaction detail for all sales activity that qualified at the best possible Interchange rate for the specified date range Includes transaction date, batch submit date, card number and qualifying Interchange category

Qualification Data Qualified Transactions

Interchange Qual Reports Non-Qualified Transactions Shows transaction detail related to items that downgraded to a higher-expensed Interchange category Includes transaction date, batch submit date, card number and clearing Interchange category Provides detail on why transactions downgraded Move mouse over the reason codes, and a description for each downgrade code appears Use information to help correct equipment or procedural issues that may be causing downgrades

Qualification Data Non-Qualified Trans

Interchange Qual Reports Qualification Summary Summarizes activity by merchant number and qualification level, so you can easily see how each location is performing Can be sorted by qualification status so that all locations with downgraded transactions appear at the top of the report

Qualification Data Qualified Summary

Funding Reports Provides access to reports that help merchants verify funding activity Available reports range from summary to detail reports Simplifies daily reconciliation Itemizes exception item adjustments for ease of reference

Funding

Funding Reports Settlement Summary Summarizes funding amounts by category Can be used to reconcile to bank deposits or internally allocate revenue and expenses Provides funding sub-totals at the merchant outlet level, as well as at other hierarchy levels, based on user logon

Funding Settlement Summary

Funding Reports DCN Report Recaps Deposit Correction Notices (DCNs) by merchant location for the specified date range For each adjustment, the reason, the dollar amount of the adjustment, and the transaction with which it is associated is provided The reason code field provides the data needed to correct the issue

Funding Deposit Correction Notice Report

Funding Reports DCN Analysis Provides a summary by merchant number of the dollar amounts and counts of DCN's Indicates the the corresponding submitted batch amounts and counts for the selected date range Includes the percentage of DCNs to Total transactions by merchant for ease in identifying locations that are having issues with DCN's

Funding Deposit Correction Notice Analysis

Funding Reports Financial Adjustments Recaps miscellaneous debit or credit financial adjustment (MISC/MISX) transactions posted during the specified date range Reported data includes the adjustment amount along with the detailed description that appeared on the merchant activity statement that included the adjustment

Funding Financial Adjustments

Fee Reports Settlement Fee Summary –Lists total fees assessed by merchant number on a specific date or over a date range –Facilitates expense allocation by merchant location Settlement Fee Detail –Displays fee data in three main categories: Discount/Service Charge Fees (includes authorization fees, equipment, product usage, etc.) Interchange/Assessment –Facilitates more detailed cost allocation by location

Fees

Fees Settlement Fee Summary

Fees Settlement Fee Detail

Chargeback Reports Provide a variety of chargeback reports to help merchants manage exception item processing Can view a high level "snapshot" of all exception items for a particular time period or detailed chargeback records at a merchant outlet level Allow merchant to track chargebacks as they move through the exception item process Deliver historical reporting relative to successful representments and denied reversal requests

Chargebacks

Chargeback Reports Exception Summary Provides a "snapshot" of all exception items by merchant location Highlights those exceptions that have a financial impact to the merchant’s business

Chargebacks Exception Summary

Chargeback Reports Representments Displays chargebacks that have been represented to the issuing bank on the merchant's behalf Items included on this report were intercepted by our Chargeback analysts and reversed back to the Issuer without financial impacting the merchant

Chargebacks Representments

Chargeback Reports Dispositions Lists each disposition by merchant location within the selected date range Dispositions are chargebacks representing disputed transactions settled in favor of the cardholder A disposition usually results in a deduction from the merchant's deposit Merchants have the option to present a rebuttal to a dispositioned case which may or may not result in a reversal of the chargeback

Chargebacks Dispositions

Chargeback Reports Dispositions Analysis Similar to the Dispositions report Generated monthly Includes graphs to help the user more readily identify trends relating to chargeback reason codes by location

Chargebacks Disposition Analysis

Chargeback Reports Reversals Lists chargebacks originally settled as dispositions, but later reversed Indicative that the merchant successfully disputed the chargeback by providing adequate rebuttal documentation Reverses any accompanying financial impacts to the merchant as well

Chargebacks Reversals

Chargeback Reports Reversals Analysis Similar to the Reversals report Generated monthly Includes graphs to help the user more readily identify trends relating to successful chargeback reversals by location

Chargebacks Reversal Analysis

Chargeback Reports Denied Reversals Lists chargebacks that were originally settled as dispositions Indicative that merchant submitted a rebuttal which proved insufficient to reverse the original chargeback Results in no further financial impact to the merchant because the original disposition stands

Chargebacks Denied Reversals

Chargeback Reports Pending Chargebacks Lists chargebacks with a pending status Can be indicative of case status during certain arbitration conditions Chargeback amount is "suspended" until the case is resolved Pending chargebacks have no financial impact; they are informational only

Chargebacks Pending

Retrievals Provides access to several retrieval reports that assist in reviewing, researching and fulfilling retrieval requests Reviewing reports regularly and fulfilling retrievals in a timely manner can help you avoid future chargebacks

Retrievals

Retrievals Outstanding Provides daily updates to all outstanding retrieval requests Sorting capabilities allow for views of due dates and dollar amounts that may be critical

Retrievals Outstanding

Retrievals Fulfilled Lists retrieval requests fulfilled by location within the specified date range Allows monitoring at individual outlet or hierarchy levels for all locations within the assigned log-on

Retrievals Fulfilled

Retrievals Expired Lists retrievals that expired prior to being fulfilled by the merchant location Will likely appear as a dispositioned chargeback shortly

Retrievals Expired

Statements Statements can be viewed at a chain or merchant outlet level Typically available for viewing 5 days after the merchant's cycle period Statements are stored for 12 months

Statements

Research Tools Authorization Search Date range and one other data element are required to search for an authorization Results include all authorizations that meet the criteria entered on the input screen Data elements provided in this report include whether the transaction was manually keyed or swiped, the authorization code, and the source of the authorization

Research Tools Authorization Search

Research Tools Authorization Search Results

Research Tools Cardholder Search Allows search by cardholder number to obtain transaction detail information Enter the cardholder number and date range click the "Submit" button at the bottom of the screen By entering a card number or a partial card number, all settled transactions associated with that card for the selected date range will be displayed The results show transaction detail for all transactions that meet the criteria entered

Research Tools Cardholder Search

Research Tools Cardholder Search Results

Research Tools Cardholder History Allows you to search by cardholder number to obtain detail on authorizations, transactions, retrievals, and chargebacks Enter the cardholder number you are looking for and the date range and click the Submit button at the bottom of the screen The Cardholder History results show all transactions that meet the criteria entered The type field provides the record status and if it is an authorization, settled transaction, retrieval or chargeback

Research Tools Cardholder History

Research Tools Cardholder History Results

Merchant Information Provides access to information about your merchant setup Can be viewed by overall hierarchy structure or search for a particular merchant location Includes name, address and contact information

Merchant Information

Merchant Information Hierarchy Structure The Hierarchy Structure Report helps find merchant locations within the Paymentech hierarchy Easy to view hierarchy levels and their corresponding hierarchy or merchant numbers This report can be exported to Excel or downloaded to a comma-delimited file

Merchant Information Hierarchy Structure

Merchant Information Location Report Merchant Location Report provides detail information, such as address and phone number, for a particular merchant location Merchant Location details are displayed for all merchant locations that match the criteria entered

Merchant Information Location Report

The application resides on a Paymentech server, accessed via No software to be sent to the user for setup or for enhancements... everything is contained on the server Internet Service Provider Browser - Microsoft Internet Explorer 5.5 or Netscape 4.7 Software - Adobe Acrobat Reader 5.0 and Excel 97

Log-ons are assigned at the following hierarchy levels: Bank/Agent Corporate/Chain Outlet Admin log-on has the ability to add or delete users

Recon $olution Module is provided to Strategic partners at no cost Merchant logons provided for a nominal monthly fee; see Schedule A pricing in Agreement Additional Modules ( Deci$ionable Data, Re$pond, In$tant Alerts) are provided for a fee –$25/report/user/month Wholesale fees can be upcharged; difference retained by Partner as income –Fee Sequence Code 391

Merchant set up request forms are available on the Strategic Partner Resource Center site If multiple locations required, a Non Processing Chain account must be established; contact RM to create