Bank Returns File Format

This section provides the bank returns file format.

This table lists the field names, their meanings and formats available for use:

Name of Field Meaning Format
FILE_CONTROL Bank Control File number received from Bank X(20)
ENTRY SEQUENTIAL NUMBER Register sequence number on electronic file received from the bank. NUMERIC
REGISTER_TYPE Identifier for header, detail and trailer records in electronic file received from the bank. NUMERIC
TRADE_NOTE_AMOUNT Amount due remaining on collection document received from the bank. NUMERIC
FILE_GENERATION_NUMBER Oracle internal use only. NUMERIC
COMPANY_CODE Company code provided by the bank at the time of contract for services associated with the remittance and return of a collection document. NUMERIC
COMPANY_NAME Company name of the first party associated with the company code provided by the bank. X(80)
GENERATION_DATE Date on which the interface records were generated. Date Format: MM/DD/YYYY DATE
REMITTANCE_CODE Bank remittance code in electronic file from the original line sent by the company. NUMERIC
BANK_NUMBER Unique numeric identifier for a bank. X(30)
BANK_OCCURRENCE_CODE Occurrence code returned by the bank related to a bank occurrence. X(30)
OCCURRENCE_DATE Correction date for a bank occurrence received from the bank. Date Format: MM/DD/YYYY DATE
INSCRIPTION_NUMBER Company registration number in electronic file received from the bank. X(50)
COMPANY_USE Collection document unique identifier for matching purposes. NUMERIC
OUR_NUMBER Collection document identifier generated by the bank or the company responsible for the collection document printing. X(20)
PORTFOLIO_CODE Portfolio code in electronic file received from the bank. NUMERIC
YOUR_NUMBER Collection document number related to the document given by the company. X(46)
DUE_DATE Due date for a collection document received from the bank. Date Format: MM/DD/YYYY DATE
COLLECTOR_BANK_NUMBER Numeric identifier for collecting bank. X(30)
COLLECTOR_BRANCH_NUMBER Numeric identifier for collecting bank branch. X(25)
TRADE_NOTE_TYPE Oracle internal use only. X(3)
BANK_CHARGE_AMOUNT No longer used NUMERIC
ABATEMENT_AMOUNT Abatement amount for a bank collection document received from the bank. NUMERIC
DISCOUNT_AMOUNT Discount amount for a bank collection document received from the bank. NUMERIC
CREDIT_AMOUNT Credit amount for a collection document received from the bank. NUMERIC
INTEREST_AMOUNT_RECEIVED Paid interest amount for a collection document received from the bank. NUMERIC
CUSTOMER_NAME Customer name on a collection document received from the bank. X(50)
RETURN_INFO Return information comment on a bank occurrence on a collection document received from the bank. X(50)
BANK_USE Operation identifier by bank on electronic file received from the bank. X(25)