Prior Day Transactions
The Prior Day Transactions page displays a list of prior day transactions for the individual account (as selected from the Prior Day Balances page).
You and financial institution can configure the details that appear.
- Value Date
The date and time of the last data refresh for the account
- BAI Code
Display-only field containing the BAI code, which defines the type of transaction
- SWIFT Code
Display-only field containing the SWIFT code, which defines the type of transaction
- Transaction Description
Display-only field containing a standard description for the transaction
- Amount
The total amount of the transaction, expressed in the currency of the account
- DR/CR
Indicates whether the transaction is a debit (DR) or credit (CR)
- Bank Reference
A reference number that the financial institution assigned to the transaction
For example, if the transaction is a payment, this could be the confirmation number.
- Customer Reference
Reference information that you or someone from your company may have assigned to the transaction
For example, if the transaction is a check, this could be a check number.
- Image
If available, clicking the link in this column takes you to an image of the item in an image viewer.
Clicking the Reference Text
icon in the Transaction Details column displays the Transaction Detail overlay with details about the transaction. For more information, see Transaction Detail.