Dec 18, 2024
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Click here to return to the NACHA hub page.
Click on a step to be directed to the article covering how to accomplish it!
Site Administrators
- ODFI Originators set up with their Identifiers
- The Routing Number is set for each ODFI in their Virtual Card
- ACH Batches have been set up correctly, verify that an SEC code has been selected for each one
- Permissions set for users if needed
- Statements need to be set up to automatically generate 5 days in advance of the effective date of your NACHA export
Regular Users
- Make sure the information in the Borrower Bank Account (ACH) page is filled in for loans boarded in payments
- Use the ACH Exceptions Report to find loans with missing information required. Fill in any missing information that you see!