ACH
PINACLE
Check Disbursement Services
Wire and CLIP
Billing and Adjustments
100

The Warehouse where you locate the transaction that has the number 9 in the sixth position of the par.

What is EFTN

100
The person(s) who can assist when a regular PINACLE operator is disabled

Who are the admins

100

The main transaction type that Check Disbursement Services is used for

What are issued checks

100

The 2 pieces of information used to verify a client wanting to place a late order

What are the Location ID (ORN) and the PIN

100

The amount of time CAA fees are billed in arrears

What is 1 month, last day

200

The amount of days a client has to dispute an amount debited via an ACH CTX transaction.

What is one day

200

The name of the report that will show failed login attempts

What is the Company Activity Report

200

DAILY DOUBLE

The plan type for a client who only has positive pay fraud protection on their account

What is Positive Pay Only (Check Positive Pay)

200

The system used to create a copy of a wire for the client

What is PSUI

200

The number sometimes needed to pull a CAA statement in Xnet

What is the lead account number

300

The 4 letters typed over the MENU in the warehouse to search for an ACH by the account number and the dollar amount

What is WSPS

300

The steps to take to assist a client who is using a new phone and mobile token

What is advise the admin to unassign the mobile token and submit, reassign the mobile token and submit, then the user install the app and register the token

300

The plan type that allows clients to send in issue files but they do not receive suspects/exceptions

What is Full ARP

300

The letter you can put infront of a wire in COR to find more details when on DI34

What is an X

300

The system you use to locate information on an IMT adjustment

What is Xnet

400

The system used to locate received ACHs going back 7 years

What is ACH Tableau ( Kofax )

400

The trouble shooting step to attempt if we (or clients) are having trouble with Pinacle.

What is change browsers, and clear cookies and cache

400

The service that requires clients to review every check that attempts to clear their account.

What is Reverse Positive Pay

400

The feature in PSUI that means a client can verify the wire they called in over the phone

What is the self verify flag

400

The platform that bills via service fees

What is DAP

500

The person that can refuse and ACH credit into a business account

Who is anyone who can be authenticated on that account

500

The person(s) who can email pinacleds@pnc.com to request a password reset for admin1 or admin2

Who is the Data Security Contact

500

The options in SMS that will allow you to see if the client has Reverse Positive Pay or Payee Review

What are the options 6/0/4

(6/1 is also an acceptable answer as it is listed on this screen as well)

500

The cut off time to place late orders for clients with cash logistics services

What is 1pm EST

500

The five types of adjustments discussed in class

What are AES, Memos, IMT, Misc, and RCN

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