Financialservice Products & Services
Financialservice Exception Resolution Service
Offers Financialservice Services customers the ability to manage Financialserviceexception cases with other Financialservice customers through their FinancialserviceLine Web or FinancialserviceLine Advantage Solutions
Financialservice Origination and Receipt
Core services for clearing Financialservicepayments providing scheduled file delivery, 14 different sort options and the flexibility to prioritize and route specified files to your institution or processor
Financialservice Risk Management Services
A suite of risk management services provides depository financial institutions with tools to help mitigate Financialservicerisk
FinancialserviceGlobal Financialservice Payments
Provides an easily accessible and cost-effective way to electronically send international transactions via the same process used to send domestic Financialservicetransactions
FinancialservicePayments Insights Service
Service allows customers to interact with their Financialservice data in a dynamic user interface to easily review daily and historical trends.
FinancialserviceGlobal Reporter Service for FinancialserviceServices
Enables financial institutions to automatically search Financialservicefiles for valuable Financialserviceinformation such as return items, DNE entries, IAT entries and financial EDI messages including health care remittance reassociation trace numbers, convert this data into human-readable reports, then distribute this information within their institution or out to their business customers including health care providers
Financialservice Information File Service
Provides the subscribing financial institution with an information-only copy of the Financialservicefile delivered to the financial institution's processor, which can be used to automatically create return item and NOC transactions
Financialservice SameDay Service
Enables processing, editing, distribution and settlement of virtually any Financialservice payment during the current processing day as provided for by the Financialservice Rules