CH> Direct Debits

ACH Direct Debits

 

Summary

 

The Direct Debits process is used to generate direct debits on AR Invoice batches. This process can also generate direct debits on UB customer accounts that have been processed in a UB New Billing or UB Final Billing batch via Premium Feature activation. Please contact Springbrook Support for information on Premium Features.

 

Bank account information is attached to AR accounts on the AR Account Maintenance window (AR> Maintenance> Account> ACH Info tab> Bank Account section). For UB customer accounts, this information is attached using the UB Account Master Maintenance window (UB> Maintenance> Account> Account tab> ACH Info sub-tab> Bank Account section). The bank account information is then processed through a Pre-Note batch (CH> Direct Debits> Generate Pre-Note) in order to verify that the bank account information entered on the customer account is correct. The Pre-Note batch can be processed by billing cycle or for a single customer. There will be no dollar amount attached to the transactions processed in the pre-note batch.

 

When the UB billing statements are generated (UB> New Billing> Statements), if there is bank account information attached to the UB customer account a “Do Not Pay” message will display on the billing statement to warn the customer that the balance will be deducted from their bank account. The bank account information does not have to be attached to the UB customer account when the billing is generated, but the “Do Not Pay” message will not display on the UB billing statement if the bank account information is not attached to the account.

 

After the AR Invoices, UB New Billing or UB Final Billing batch has been committed, run the Clearing House module Direct Debits process to create an export file. Not all of the transactions in the UB New Billing or Final Billing batch will be included in the Direct Debits batch. Only transactions that are attached to UB customer accounts that have bank account information attached to their UB customer account will be processed in the Direct Debits batch.

 

The export file will contain the billing transactions in a format that can be processed by an ACH processing bank. Check with your processing bank about the format of the export file and/or obtain a copy of ACH RULES: A complete Guide to Rules & Regulations Governing the ACH Network, published by the National Automated Clearing House Association (NACHA: http://www.nacha.org/).

 

Flowchart

 

The objects in the diagram below represent processes in the application. Click on an object for information about that process.

 

 

Related Links

 

Click here for information on direct debit pre-note batches.

 

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