Electronic Merchant Settings
(Electronic Process Merchants)
Access
Support
Files: Finance Company, Country.
Tabs:
General, Regional
Use this routine to store all data specific to
the merchants you use for electronic transaction processing. Merchant
data for many of these fields is supplied primarily by the merchant’s
bank and the clearinghouse being used for transaction processing. If you
set up more than one merchant ID on an account, the system uses the Location Settings
(Warehouse Location) routine to specify the merchant ID by location.
This file is used for credit cards, e-checks, and third-party financing.
Not all of the fields are required for each function. Please contact your
STORIS representative for further detail on setting up this file.
Setup Merchant IDEnter the code of the merchant
you want to view or edit. If you click on the Search button, a list of
merchants appears from which you can choose.
This is the ID number supplied by STORIS to allow the client company to
classify electronic transactions internally.
General
DescriptionEnter
the description of the merchant accepting electronic processing.
Authorization ServiceEnter
the code of the service used to authorize electronic transactions. If
you click on the Search button, a list of authorization services appears
from which you can choose. This is a STORIS-defined field.
Payment Class
Finance ProviderIf you
set the Payment Class field to Finance Company, enter the code of the
Finance Company providing financing. If you set the Payment Class field
to Credit Card, enter CREDIT in
this field. If using the Electronic
Check Processing feature, enter CHECK
in this field.
Merchant NumberEnter
the merchant number assigned to your company by the financing/credit company.
You can specify one merchant number for all locations or separate
merchant numbers for each location, depending on the requirements of the
processing company.
Merchant NameEnter
the company name of this merchant.
Merchant AddressEnter
the address of the merchant.
City State ZipEnter
the city, state, and zip code for this merchant.
Merchant PhoneEnter
the phone number of this merchant.
Terminal IDEnter
the identification number assigned to the terminal by the bank or clearinghouse.
Bank Bin NumberEnter
the bank bin number. This number is usually provided by the merchant's
bank and the clearinghouse being used for transaction processing.
Agent NumberEnter
the agent number. This number is usually supplied by the merchant's bank
and the clearinghouse being used for transaction processing.
Chain NumberEnter the chain number. This
number is usually supplied by the merchant's bank and the clearinghouse
being used for transaction processing.
MCC/SIC CodeEnter
the MCC/SIC code. This number is usually supplied by the merchant's bank
and the clearinghouse being used for transaction processing.
Current BatchThe current
batch number appears. This number is supplied by the merchant's bank and
the clearinghouse being used for transaction processing.
Settlement
Type
Debit Card OKTo allow this merchant to
process debit cards, check the box. Otherwise, leave the field blank.
If you leave the field blank, the system does not present the PIN pad during transactions.
To access this field, the Credit Card option must be selected at the Payment
Class field.
Electronic Conversion of Funds
Regional
Country CodeThis code
is supplied primarily by the merchant's bank and the clearinghouse being
used for transaction processing.
Region CodeThis code
is supplied primarily by the merchant's bank and the clearinghouse being
used for transaction processing.
Time DifferentialThis is
supplied primarily by the merchant's bank and the clearinghouse being
used for transaction processing.
Location CodeThis code
is supplied primarily by the merchant's bank and the clearinghouse being
used for transaction processing.
Store CodeThis code
is supplied primarily by the merchant's bank and the clearinghouse being
used for transaction processing.
Terminal CodeThis code
is supplied primarily by the merchant's bank and the clearinghouse being
used for transaction processing.
Automatic Settlement
Authorized Master Dealer NumberThis field
is specific to CitiFinancial, and is used for the authorization process.
Authorized Merchant NumberThis field
is specific to CitiFinancial, and is used for the authorization process.
Authorized Store CodeThis field
is specific to CitiFinancial, and is used for the authorization process.