Guide to FHB Online Business Center

Transactions

ACH Pass Thru

If you use an accounting software package that can generate a NACHA formatted file of ACH transactions, you can upload it to our system using this page. The ACH Pass Thru functions allows you; 1. Upload complex NACHA formatted files that include multiple batches, and 2. contains SEC codes other than PPD or CCD 3. ACH Files can be balanced or unbalanced. Care should be taken when uploading a file using ACH Pass Thru as the file will not be verified prior to processing. Any errors may result in transactions being rejected.

To Import ACH Transactions:

Click on the Transactions tab, then click on ACH Pass Thru . 1. Indicate which file you would like to import. 2. Choose the: Process Date - is the date the bank will process the file, which maybe be different than below. Settlement Date \ Effective Date - this is the date when the receivers will get the funds into their account (for credit transctions). 3. When finished, click Draft or Approve .

Process Date is the date the bank will process the ACH file, which may be different than the settlement date for your transactions.

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