Finance Provider Settings
Access
Support
Files: Zip Code, Sales Tax, Bank Master, and Warehouse Location.
Tabs:
General, Online
Transmit, Communications
Use this routine to maintain information on your
third-party finance providers, for example Citi Financial, Encompass or
GE Capital. STORIS comes pre-loaded with finance providers to which STORIS
can electronically transmit financing transactions. A 1 or 2 digit numeric
provider code is assigned to each of these. You cannot edit, delete, or
create new transmitting provider codes. However, you can add new, non-transmitting
providers. That is, you cannot establish an electronic connection for
instant transmission with any provider you add - only with the providers
added by STORIS.
Finance ProviderEnter the code of the finance
provider you want to enter or edit. If you click on the Search button,
a list of "transmitting" finance providers appears from which
you can choose. To create a new record
for a non-transmitting, third-party finance provider, enter a record ID
using up to 4 alphanumeric characters.
General
CONTACT INFO
Provider NameEnter
the full name of the finance provider.
Address Line 1Enter
the first line of the finance provider's address.
Address Line 2Enter
the second line of the finance provider's address, if necessary. Use this
field for P.O. Box, Floor #, Dept., etc., but NOT for city, state, and
Zip Code.
Zip/Postal
CodeEnter the zip/postal code of this finance provider.
The zip/postal code you enter must already exist in the Zip
Code file.
City/TownThis
city/town defaults in based on the specified zip
code. If this finance provider's city/town is different, you can override
this default.
State/ProvinceThis
state/province defaults in based on the specified zip
code. If this finance provider's state/province is different, you
can override this default.
Phone #Enter
the finance provider's phone number (including area code).
ExtEnter
the finance provider's telephone extension number, if any.
Fax #Enter the finance provider's fax number, if any.
Contact NameEnter
the name of the finance provider contact, if any.
TRANSACTIONAL ACTIVITY
Auto-Pay Post BankTo use the Auto Pay option, enter the bank code
from the Bank Settings (Bank Master) file
you want the system to use when the Transmit
Financing Settlement (Transmit Settlement) runs during the Day-Ending
process. If a value exists in this field, the Daily Update program assumes
that once a transaction has been posted to Finance Receivables via the
Sales Order entry program, it is paid in full and therefore closes the
transaction.
The receipt of payment posts to the cash account identified in the bank
record specified here. If receiving finance payments from customers and
a value exists in this field, the Finance Receivable Daily Update program
automatically applies these payments to open Finance Receivables. You
can use the Auto Pay option whether or not you are electronically transmitting
finance applications.
Bank Reconciliation
Deposit Type CodeIf using
the Bank
Reconciliation feature, enter the code of the deposit
type you want to use each time your company receives a payment from
the selected finance provider. If you leave this field blank, the
system does not create bank reconciliation records for this finance provider.
Posting Method
Place Orders on F4 Credit HoldTo require
a "review" of orders financed through this finance provider,
check the box. Otherwise, leave the box blank. This restriction applies
only to orders placed after this field was activated. The review itself
can take any form, for example a check of the customer's ID.
If you check the box, the system applies an F4
Credit Hold on the order, preventing the order from being invoiced
until the credit hold is removed. F4 credit holds can be removed only
by users with a check at the Able To Review Financing field in the User
and/or User Group files. Qualified users can review the transaction and
remove the credit hold via the Reviewed field in the Update
Financing Credit Approvals routine.
Refund Original FinancingUse
this field to require that when refunding orders that were originally
financed, the refund must be returned through the finance payment type
associated with the original payment.
In-Store Payment Type
Transaction Codes
Use the fields in this section to enter specific retail transaction
codes used in data transmission to the finance provider as well as for
analysis. These codes are supplied by the finance provider. If no codes
were supplied, you can enter any unique codes. However, if not using STORIS'
data transmission capabilities, leave these fields blank. Contact STORIS
Support for further assistance.
Initial SaleEnter
the code to be used when the transaction represents the first sale to
a customer.
Add On SaleEnter
the code to be used when the transaction represents a sale to a customer
who already has a financed customer account with the third party finance
provider.
Customer ReturnEnter
the code to be used when issuing a customer return.
In-Store PaymentEnter
the code you want the system to use when posting a finance payment received
from the customer. In-store payments are used when tendering financed
account payments made at one of your locations to the finance provider.
Payment ReversalThis
field is used only if payment reversal functionality is offered by your
provider. The field defines the code to be used for finance payment reversals.
As with the other controls on this screen, there is no validation of your
entry. An entry here indicates that the provider supports finance payment
reversals and that payment reversals can be transmitted to this provider.
Check with your provider and with STORIS for detail on the use of this
field.
Online
Transmit
Transmit this Store LocationIn this
field you can indicate the store location which the system will electronically
transmit all finance transactions from. If this field is left blank, the
system will use the selling store location where the transaction took
place. The location number entered here must exist in the Location
Settings (Warehouse Location). If not using STORIS' data transmission
capabilities, leave this field blank. Contact STORIS
Support for further assistance.
Transmission Method
Settlement Type
Maximum
Contract Adjustment
Client Pay CodeThe
code entered here is provider-assigned and is only used with GE Capital
to indicate where the finance applications are being transmitted from.
Manual Authorization MessageYou
can have the system display a message when you manually approve financing
transactions (i.e. no electronic authorization was received). The message
can be used to remind you to provide the customer with a manual slip that
includes their finance plan information. Use this text entry box to store
the message to be displayed after you enter the manual authorization.
The message also prints on the sales order document. You can enter a text
message of up to 500 characters. If you leave this field blank, no message
is displayed or printed following entry of a manual authorization.
Type & DESCRIPTION
ACCOUNT NUMBER - Allow Entry of Finance Account Numbers on the FlyTo allow
users to indicate a finance customer account number when creating customers
on-the-fly through sales order entry,
check the box at this field. If not using STORIS' data transmission capabilities,
leave this field blank. Contact STORIS
Support for further assistance.
ACCOUNT NUMBER - Allow for a Finance Plan to be Applied to an Order Prior
To Account Number Assignment
ACCOUNT NUMBER - Default the Account Number from the Customer FileIf you
check this box, the system defaults the contents of the Account Number
field from the Customer file when prompted for finance account number,
for example in Sales Order Entry. If the customer does not exist prior
to creating a sales order, when creating the customer on-the-fly, the
system prompts for the finance account number (provided by the finance
company) as long as the "Account Numbers on the Fly" field is
activated within this record. If not using STORIS' data transmission capabilities,
leave this field blank. Contact STORIS
Support for further assistance.
ACCOUNT NUMBER - Require an Account Number When Requesting
Financed Authorizations
CREDIT HOLD - Place Orders on F3 Credit Hold if Provider Declines FinancingThis
field is used to control whether or not orders go on F3 credit hold when
there is an electronic decline. Contact STORIS for further detail on the
use of this field.
CREDIT PROTECTION - Prompt for Credit Protection in the Credit Application
Process To activate the Credit
Protection prompt on the Wells-Fargo Finance Credit Application Screen,
check the box at this field. If the provider does not offer credit
protection for their plans, leave this field blank.
CREDIT VIEW - Activate the Online Available Credit Information
Inquiry
Use the next three LANGUAGE fields to define the options you are offered
at the Language Preference prompt on the Main tab of credit application
entry for this provider. You can check one or more boxes to indicate which
options are available. If you leave all boxes blank, the default option
is English.
Only some providers prompt for Language Preference. Therefore, these fields
are not used by all providers.
The language you select during credit application entry is used for information
only. No translation takes place. When transmitting the credit application
to the finance provider, the preferred language is passed to the provider
in order that they know which language should be used when communicating
with the finance customer.
LANGUAGE - English
LANGUAGE - French
LANGUAGE - Spanish
LOGS - Activate Transmission Logging
PROVIDER
- Process as InstallmentTo enable installment financing
with this provider, check this box. Otherwise, leave the box blank.
QUEUING
- Include Provider in Application Queue
QUEUING
- Treat Pending Response as Closed
TRANSMIT - Activate the Transmission of Financed Transactions
TRANSMIT - Activate the transmission of Financed Credit ApplicationsTo electronically
transmit finance applications by the individual Finance Provider, check
the box at this field. If you check the box at this field, you must also
check the box at the Transmit Applications field in the Financing
Control Settings. If not using STORIS' data transmission capabilities,
leave this field blank. Contact STORIS
Support for further assistance.
TRANSMIT - Allow Partial Reversals
TRANSMIT - Combine Transaction DatesIf the
Financing
Control Settings "Transmit Applications" option is
active and this field is selected, finance transactions of different dates
may be combined into a single transmission. If the field is not selected,
dates for transactions cannot be combined into one batch in the transmission.
If not using STORIS' data transmission capabilities, leave this field
blank. Contact STORIS
Support for further assistance.
TRANSMIT - Notify Providers When No Settlement Details Are Available
TRANSMIT - Receive Electronic AuthorizationSelect
this field if electronic authorizations may be received from this Finance
Provider. A corresponding entry must exist in the Financing
Control Settings, which must be set to receive electronic authorizations.
A corresponding entry must also exist in the Card Validation field of
the Financing Payment Plan
Settings (3rd Party Payment Type) record. If not using STORIS' data
transmission capabilities, leave this field blank. Contact STORIS
Support for further assistance.
TRANSMIT - Activate the Transmission of Authorization Reversals
TRANSMIT - Allow Entry of an Authorization Number for
Online Providers
TRANSMIT - Allow Resubmission of Pending Applications
Communications
Use the fields on this tab to establish FTP
connections for finance providers. Note that some finance providers do
not support FTP, in which case this tab is inactive. If not using STORIS'
data transmission capabilities, leave these fields blank. Contact STORIS
Support for further assistance.
TCP/IP
The following fields are active only if you select either TCP/IP or
SSL at the Transmission Method field on the Online Transmit tab.
Application IP AddressThis
is the IP address for the socket connection used when transmitting finance
application data.
Application PortThis is the Port number
associated with the IP address used for communicating finance application
data.
Authorization IP AddressThis is the IP address
for the socket connection used when transmitting finance authorization
data.
Authorization PortThis
is the Port number associated with the IP address used for communicating
finance authorization data.
Settlement IP AddressThis is the IP address
for the socket connection used when transmitting finance settlement data.
Settlement PortThis
is the Port number associated with the IP address used for communicating
finance settlement data.
SECURED SOCKET LAYER
SSL AddressIf SSL
is checked at the Transmission Method field on the Online Transmit tab,
this field activates. Enter the SSL address of your third-party finance
provider.
SSL PortIf SSL
is checked at the Transmission Method field on the Online Transmit tab,
this field activates. Enter the SSL port of your third-party finance provider.
RECORD VERSION
Enter the most recent record version for each field. These fields are
not mandatory and are currently only used by Alliance Data Services. These
fields are locked for STORIS use only. These fields allow alphanumeric
characters with a maximum length of 10 characters.
Application
Authorization
- Sale
Authorization
- Return
Authorization
Reversal
Available
Credit
In-Store
Payment
Settlement
SFTP SETTLEMENT
Host AddressUse
this field to enter the IP address to be used for electronic transmissions.
The Host FTP address is provided by your finance company.
Firewall
User IDThe value for this field
is provided by the finance company. This field is currently inactive.
Firewall
PasswordThe value for this field
is provided by the finance company. This field is currently inactive.
User
IDValues for these fields will be provided by the
Finance Company. The Settlement Filename is the name that STORIS uses,
for each client, to identify the file being sent during settlement to
the vendor. The Confirmation File Number 1, and Confirmation File Number
2 are the names given to the files that STORIS picks up during recap (settlement
completion). Confirmation files are currently used with CitiFinancial
and HRSI only.
User PasswordValues
for these fields will be provided by the Finance Company. The Settlement
Filename is the name that STORIS uses, for each client, to identify the
file being sent during settlement to the vendor. The Confirmation File
Number 1, and Confirmation File Number 2 are the names given to the files
that STORIS picks up during recap (settlement completion). Confirmation
files are currently used with CitiFinancial and HRSI only.
Source PathThis is the source path
for this connection and will be set up by STORIS.
Settlement
FilenameValues for these fields
will be provided by the Finance Company. The Settlement Filename is the
name that STORIS uses, for each client, to identify the file being sent
during settlement to the vendor. The Confirmation File Number 1, and Confirmation
File Number 2 are the names given to the files that STORIS picks up during
recap (settlement completion). Confirmation files are currently used with
CitiFinancial and HRSI only.
Confirmation
File #1Values for these fields
will be provided by the Finance Company. The Settlement Filename is the
name that STORIS uses, for each client, to identify the file being sent
during settlement to the vendor. The Confirmation File Number 1, and Confirmation
File Number 2 are the names given to the files that STORIS picks up during
recap (settlement completion). Confirmation files are currently used with
CitiFinancial and HRSI only.
Confirmation
File #2Values for these fields
will be provided by the Finance Company. The Settlement Filename is the
name that STORIS uses, for each client, to identify the file being sent
during settlement to the vendor. The Confirmation File Number 1, and Confirmation
File Number 2 are the names given to the files that STORIS picks up during
recap (settlement completion). Confirmation files are currently used with
CitiFinancial and HRSI only.
Host RSA Address
WEB SERVICE
These fields are active only if you select Web Service at the Transmission
Method field on the Online Transmit tab. The User ID, Password, and URL
information are supplied by the finance provider. When using a web service,
if the User ID and Password fields are empty, the system obtains the information
from the Finance Merchant Settings.
User IDEnter
the user ID needed to connect to the web service.
PasswordEnter
the password needed to connect to the web service.
URL
ApplicationEnter
the URL you use to transmit credit application information to the finance
provider.
Authorization - Sale
Authorization - Return
Authorization Reversal
Available CreditEnter
the URL you use to transmit an available credit (open to buy) request
to the finance provider.
In-Store Payment
SettlementEnter
the URL you use to transmit credit authorization and settlement information
to the finance provider.