Texas Capital Bank Client Support will be closed for Memorial Day on Monday, May 29, 2023. We will be back to our normal 8:00 AM to 6:00 PM support hours on Tuesday, May 30, 2023.

We will be making updates to our website from 9:00 p.m. CST to 11:00 p.m. CST on 05/24. During this time, the website may experience some interruptions of functionality or be unavailable.

Services

Account Reconciliation

    Viewing Issued Items

    Review All Checks

    Use this feature to view details of any issued check.

    Review All Checks

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
    3. Select Review All Checks from the Issued Items drop-down menu. The Review All Checks page appears with the results filtered for the default Account Name in the following columns:
      • Status
      • Account Name
      • Issued Date
      • Paid Date
      • Check #
      • Amount
      • Issued Payee
      • Details (via a hyperlink)
    4. Select the Account Name from the drop-down menu to display the check transactions. The Review All Checks page refreshes with the results based on the account name selected and also displays the count of checks and total amount for all of the transactions listed.
    5. (Optional) Click the Show Key button to display the descriptions of the icons in the Status column. Click the Close Window hyperlink to return to the previous page.
    6. Click the Display hyperlink in the Details column to view the details for each individual check. The details appear under the row of the check selected.

    Note: The detail fields that are grayed out are view only fields.

    Upload Issued Item Check File

    The Upload Issued Check File screen is used to upload issued check files to Texas Capital Bank.

    Upload Issued Item Check File

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
    3. Select Upload Issued Item Check File from the drop-down menu. The Upload Issued Item Check File page appears.
    4. Click the Browse button and select a file to process.
    5. Input details about the file:
      • Account Name: Use the drop-down menu to select the account name
      • File Processing Type: Use the drop-down menu to select the file type (Standard CSV or Fixed Length)
    6. Click the Process File button to upload the file. The results of the file upload will appear.

    Note: Once a file is uploaded and processed, a window will be displayed indicating the processing status. The file processing status can also be checked online from the Issued Check File Processing Log screen under System Reports. The following is a list of the possible processing statuses:

    • Unprocessed: The file has been uploaded, but has not yet been processed.
    • Processed: The file was processed successfully.
    • Processed with Exceptions: The file was processed successfully, but duplicate checks were not loaded.
    • Rejected: The file was rejected due to one of the following reasons:
      • A mismatch between the number of items/amount entered on the screen and the number of items/amount contained in the file
      • The file format did not match the format selected

    Manually Add New Issued Check

    The Manually Add New Issued Check screen is used when a check is manually written or not included in the electronic issued check file that is submitted to Texas Capital Bank.

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
    3. Select Manually Add New Issued Check from the drop-down menu. The Manually Add New Issued Check page appears.
    4. Input details about the check:
      • Account Name: Use the drop-down menu to select the appropriate account name.
      • Check Number: The check number of this item.
      • Amount: The amount of the check.
      • Issued Date: The issued date for this check.
      • (Optional) Issued Payee: The issued payee name for this check.
      • Auto-Increment Check Number: Checking this box will increment the check number by one after each check submission.
    5. Click the Add Check button to manually add the new issued check.
    6. Confirmation screen will appear letting you know if the check was successfully added. Details will be displayed at the bottom of the screen for each added check.

    Void a Check

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
    3. Select Void a Check from the drop-down menu. The Void a Check page appears.
    4. Input details about the check:
      • Enter check information
        • Account Name: Use the drop-down menu to select the appropriate account name.
        • Check Number: The number of the issued check.
        • Check Amount: The amount the check was written for.
        • Issued Date: The date the check was issued.

      Note: All three fields are required to void a check.

    5. Click the Find Matching Check button to find the check.
    6. Verify the check that will be voided from the results that appear.
    7. Click the Void Check button to complete the void check process.

      Note: Voids are retained within the system for 90 days after an item has been voided.

    8. Confirmation screen will appear letting you know if the check was successfully added. Details will be displayed at the bottom of the screen for each added check.

    Check Search

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
    3. Select Check Search from the Issued Items drop-down menu. The Check Search page appears with the search parameters for the check.
    4. Complete the following fields on the Check Search page as necessary:
      • Account Name: The available accounts assigned. Select up to three different accounts.
      • Issued Date (Start and End): The Issued Date field is used to search for transaction based upon the issued date of check. If searching for a specific date, enter the date in both the Start and End date field.
      • Paid Date (Start and End): The Paid Date field is used to search for transactions based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • Check Number (Start and End): The Check Number field is used to search for transactions based upon check numbers. A range of check numbers may be selected by entering both a Start and End check number. If searching for a single check, enter the check number in the Start field (the End field may be left blank).
      • Check Amount (Start and End): The Check Amount field is used to search for transactions based upon a specific dollar amount or dollar range. If searching for an exact amount, enter the amount in the Start field (the End field may be left blank).
      • Issued Payee: The Issued Payee field is used to search by the issued payee.
      • Transaction Status: To search for checks based on the status of the check, select one of the following:
        • All Transaction Statuses
        • Issued and Not Paid (lists outstanding issued checks)
        • Issued and Paid (lists paid checks)
        • Current Exceptions (lists today's exceptions)
        • All Exceptions (lists exceptions from the current day and previous days)
        • Void (lists voided checks)
      • Stop Pay Status: To search for checks in which a stop pay request has been issued, select one of the following:
        • All Stop Pay Statuses
        • Requested Stop Pay (stop payment request has been requested but has not been applied by the Bank)
        • Requested and Placed (stop payment applied by the Bank)
        • Item Stopped and Returned (item was presented for payment and stopped by the Bank)
      • Decision: To search for exceptions based upon the pay/return decision, select one of the following from the Decision drop-down menu:
        • All Decisions
        • Pay
        • Return
      • Reason: To search for exceptions based upon the reason that was selected, select one of the following from the Reason drop-down menu:
        • All Reasons
        • Duplicate
        • Fraudulent
        • Other
        • Past Deadline Item Returned
        • Refer to Maker
        • Stale Dated
    5. Click the Produce Report button to generate the Check Search Report. The Check Search Report generates with the appropriate records that match the parameters requested.
    6. To view details click the Display hyperlink in the Details column.Note: If a large number of items meet the search criteria, multiple pages will exist. Scroll to the bottom of the screen and select the Next button to view additional pages.
    7. (Optional) Click the Show Key button to display the descriptions of the icons in the Status column. Click the Close Window hyperlink to return to the previous page.
    8. Click the Back to Filter button to go back to the Check Search page.

    ACH Transaction Search

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
    3. Select ACH Transaction Search from the Issued Items drop-down menu. The ACH Transaction Search page appears with the search parameters for the ACH transaction.
    4. Complete the following fields on the ACH Transaction Search page as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Paid Date (Start and End): The Paid Date field is used to search for transactions based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • Input Date (Start and End): The Input Date field is used to search for transactions based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • Transaction Amount (Start and End): The Transaction Amount field is used to search transactions based upon a specific dollar amount or dollar range. If searching for an exact amount, enter the amount in the Start field (the End field may be left blank).
      • SEC Code: To search for transactions based upon the ACH Standard Entry Class (SEC) code, select a code from the SEC Code drop-down menu.
      • Company ID: To search for transactions containing a specific ACH originating company identification number, enter the company ID value.
      • Transaction Description: To search for transactions based upon the partial or full transaction description text, enter the partial or full description text.
      • Transaction Status: To search for ACH transactions based on the status, select one of the following:
        • All Transaction Statuses
        • Current Exceptions (lists the current day's exceptions)
        • All Exceptions (lists exceptions the current day and previous days)
      • Decision: To search for exceptions based upon the pay/return decision, select one of the following from the Decision drop-down menu:
        • All Decisions
        • Pay
        • Return
      • Reason: To search for exceptions based upon the reason that was selected, select one of the following from the Reason drop-down menu:
        • All Reasons
        • Past Deadline Item Returned
        • Unauthorized
    5. Click the Produce Report button to generate the ACH Transaction Search Report. The ACH Transaction Search Report generates with the appropriate records that match the request entered.
    6. Click the Display hyperlink the in Details column to view or edit the details for each transaction. The details appear under the row of the transaction selected.Note: The grayed out detail fields are view only fields.
    7. Click the Back to Filter button to return to the ACH Transaction Search Page.

    Paid Check Search

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
    3. Select Paid Check Search from the Issued Items drop-down menu. The Paid Check Search page appears with the search results.
    4. Complete the following fields on the Paid Check Search page as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Paid Date (Start and End): The Paid Date field is used to search for transactions based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • Check Number (Start and End): The Check Number field is used to search for transactions based upon check numbers. A range of check numbers may be selected by entering both a Start and End check number. If searching for a single check, enter the check number in the Start field.
      • Check Amount (Start and End): The Check Amount field is used to search for transactions based upon a specific dollar amount or dollar range. If searching for an exact amount, enter the amount in the Start field.
      • Issued Payee (Start and End): The Issued Payee field is used to search by the issued payee.
    5. Click the Produce Report button to generate the Report. The Paid Check Search Report generates with the appropriate records that match the request entered.Note: If a large number of items meet the search criteria, multiple pages will exist. Scroll to the bottom of the screen and select the Next button to view additional pages:
      • Previous: To view previous pages
      • First: To go back to the first page
      • Last: To view the last page
    6. Click the View Image hyperlink in the Check # column for the paid check you want to view. The image of the paid check appears with the following options:
      • Check #
      • Paid Date
      • Paid Amount
      • Issued Date
      • Exception (only available if an exception exists)
      • Front (view the front of the check)
      • Back (view the back of the check)
      • Rotate Clockwise
      • Rotate Counterclockwise
      • Zoom Out
      • Zoom In
      • Reset Image
      • Download PDF
      • Close
      Note: The system will display the following message if the check image in not available: "The check image cannot be retrieved due to insufficient"
    7. (Optional) Click the Show Key button to display the descriptions of the icons in the Status column. Click the Close Window hyperlink to return to the previous page.
    8. Click the Back to Filter button to go back to the Paid Check Search page.

    Generating Transaction Reports

    All Checks

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select All Checks from the Transaction Reports drop-down menu. The All Checks page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
      • Paid Date (Start and End): The Paid Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • Input Date (Start and End): The Input Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • Exception Date (Start and End): The Exception Date field is used to search for checks based upon the exception date. If searching for a specific date, enter the date in both the Start and End date field.
      • Issued Payee: The Issued Payee field is used to search by the issued payee.
      • Decision: To search for checks based upon the pay/return decision, select one of the following from the Decision drop-down menu:
        • All Decisions
        • Pay
        • Return
      • Reason: To search for checks based upon the reason that was selected, select one of the following from the Reason drop-down menu:
        • All Reasons
        • Encoding Error
        • Fraudulent
        • Other
        • Past Deadline Item Returned
        • Refer to Maker
        • Stale Dated
        • Unauthorized
      • Include Reversals: To search for checks based upon reversals, select one of the following from the Include Reversals drop-down menu:
        • No
        • Yes
    5. Click the Produce Report button to generate the All Checks Report. The report generates with the appropriate records that match the filtered request.
       

      Note: If a large number of items meet the search criteria, multiple pages will exist. Scroll to the bottom of the screen and select the Next button to view additional pages.

    6. Select one of the following:
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Back to Filter button to return to the original report filter parameters
         

        Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

    Outstanding Issued Checks

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select Outstanding Issued Checks from the Transaction Reports drop-down menu. The Outstanding Issued Checks page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
      • Input Date (Start and End): The Input Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • As of Date (Start): The As of Date field is used to search for checks based upon the outstanding as of date. If searching for a specific date, enter the date in the Start date field.
      • Issued Payee: The Issued Payee field is used to search by the issued payee.
    5. Click the Produce Report button to generate the Outstanding Issued Checks Report. The report generates with the appropriate records that match the filtered request.
       

      Note: If the list of results in the report exceeds the page, use the scroll bar to view the additional results.

    6. Select one of the following:
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Back to Filter button to return to the original report filter parameters
         

        Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

    Daily Issued Checks Summary

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select Daily Issued Checks Summary from the Transaction Reports drop-down menu. The Daily Issued Checks Summary page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
    5. Click the Produce Report button to generate the Daily Checks Issued Summary Report. The report generates with the appropriate records that match the filtered request.
    6. Select one of the following:
      • From field to select a date from the calendar, then click the To field to select the to date from the calendar
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Back to Filter button to return to the original report filter parameters
         

        Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

    Paid Checks

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select Paid Checks from the Transaction Reports drop-down menu. The Paid Checks page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
      • Paid Date (Start and End): The Paid Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • Input Date (Start and End): The Input Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • Issued Payee: The Issued Payee field is used to search by the issued payee.
      • Include Reversals: To search for checks based upon reversals, select one of the following from the Include Reversals drop-down menu:
        • No
        • Yes
    5. Click the Produce Report button to generate the Paid Checks Report. The report generates with the appropriate records that match the filtered request.
    6. Select one of the following:
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Back to Filter button to return to the original report filter parameters
         

        Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

    Stops and Voids

    The Stops and Voids report option allows you to review the stopped and voided transaction that may meet any of the following criteria:

    • Identify when a stop pay was requested
    • Identify when a stop pay was requested and placed
    • Identify when an item was stopped
    • Identify the void date of an item
    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select Stop and Voids from the Transaction Reports drop-down menu. The Stop and Voids page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Issued Date (Start and End): The Issued Date field is used to search for transactions based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
      • Void Date (Start and End): The Void Date field is used to search for transactions based upon the date the item was voided. If searching for a specific date, enter the date in both the Start and End date field.
      • Stop Placed (Start and End): The Stop Placed field is used to search for transactions based upon the date a stop payment was applied to this item by the bank. If searching for a specific date, enter the date in both the Start and End date field.
      • Item Stopped Date (Start and End): The Item Stopped Date field is used to search for transactions based upon the date the item was stopped. The item stopped date is only set on the checks that are presented for payment after being set up with a stop payment. If searching for a specific date, enter the date in both the Start and End date field.
      • Issued Payee: The Issued Payee field is used to search by the issued payee.
      • Stops and Voids Criteria: Select the applicable checkbox(es):
        • Requested Stop Pay (not applicable for Texas Capital Bank)
        • Requested and Placed Stop Pay (not applicable for Texas Capital Bank)
        • Item Stopped
        • Void
    5. Click the Produce Report button to generate the Stops and Voids Report. The report generates with the appropriate records that match the filtered request.
       

      Note: This report lists all outstanding issued checks that have been voided and/or match to current stop payments.

    6. Select one of the following:
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Back to Filter button to return to the original report filter parameters
         

        Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

    ACH Transactions

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select ACH Transactions from the Transaction Reports drop-down menu. The ACH Transactions Report page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Paid Date (Start and End): The Paid Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • SEC Code: To search for transactions based upon the ACH Standard Entry Class (SEC) Code, select a code from the SEC Code drop-down menu.
      • Company ID: To search for transactions containing a specific ACH originating company identification number, enter the company ID value.
    5. Click the Produce Report button to generate the ACH Transaction Report. The report generates with the appropriate records that match the filtered request.
    6. Select one of the following:
      • Calendar option located in the upper left hand corner. View a specific time frame by selecting the date range using the To and From date range. Then click the Refresh button to view the results. to view the results.
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Back to Filter button to return to the original report filter parameters
         

        Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

    Stale Dated Checks

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select Stale Dated Checks from the Transaction Reports drop-down menu. The Stale Dated Checks Report page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
      • Input Date (Start and End): The Input Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
      • As of Date (Start): The As of Date field is used to search for checks based upon the outstanding as of date. If searching for a specific date, enter the date in the Start date field.
      • Issued Payee: The Issued Payee field is used to search by the issued payee.
    5. Click the Produce Report button to generate the Stale Dated Checks Report. The report generates with the appropriate records that match the filtered request.
       

      Note: If the list of results in the report exceeds the page, use the scroll bar to view the additional results.

    6. Select one of the following:
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Back to Filter button to return to the original report filter parameters
         

        Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

    Account Reconciliation Summary

    The Account Reconciliation Summary is used to assist in balancing online account balances with a statement. The report displays an activity summary with newly issued checks, paid checks, stopped checks, voided checks, ACH debits and credits, miscellaneous debits and credits, deposits, service charges, paid interest and taxes/withholding. The report also provides a total of outstanding checks and the check register balance as of reconciliation date.

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select Account Reconciliation Summary from the Transaction Reports drop-down menu. The Account Reconciliation Summary page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user.
      • Reconcile Through Date: The ending date of the reconciliation period. The beginning date of the reconciliation period is based upon the last reconciliation performed on the account. The first time an account is reconciled; all activity in the system up through the Reconcile Through Date is included.
    5. Click the Select button to generate the Account Reconciliation Summary Report. The Account Reconciliation Statement report generates with the appropriate records that match the parameters entered in step 4 with the following sections:
      • Transaction Summary - contains the Show hyperlinks to show the details of the deposits by each location and the count of checks in the following categories:
        • Previous Outstanding Checks
        • Current Outstanding Checks
      • Daily Balance Summary
        • Current Balance - changes to Statement Balance if the transaction amount equals 0 with a text input field and a Calculate hyperlink.
        • Outstanding Check Amount
        • Check Register Balance
      • Reconcilement History
        • Date of reconcilement hyperlink
        • Clear hyperlink to remove any existing reconciliation completed records

      Note: If reconcilement is complete, the system will display the Finish Reconciliation button (disabled) and the Go Back button.

    6. Click the Show hyperlink to display the details of the check by each category in the Recap section at the bottom of the page. The report expands in the result area with a recap of the checks for the specific category.
    7. Click the Show hyperlink located in each row of the check details in the Recap section to view additional details, if applicable. A pop-up window appears with the additional details.
    8. Click the Print icon or Close button depending on the action you want to perform. The Account Reconcilement Summary Report appears.
    9. Select one of the following:
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Hide hyperlink in the Transaction Summary section to hide the additional details
      • Date hyperlink in the Reconcilement History section to view the date of reconcilement
      • Finish Reconciliation button in the Transaction Summary section to view the Check Reconciliation Summary Report for the specific location. An option to export to an Excel file will appear.
      • Click the Cancel button to cancel the request

    Check Reconciliation Summary

    The report displays an activity summary of newly issued checks, paid checks, and stopped/voided checks. The report also provides a total of outstanding checks as of the reconciliation date.

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select Check Reconciliation Summary from the Transaction Reports drop-down menu. The Check Reconciliation Summary page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user.
      • Reconcile Through Date: The ending date of the reconciliation period. The beginning date of the reconciliation period is based upon the last reconciliation performed on the account. The first time an account is reconciled, all activity in the system up through the Reconcile Through Date is included.
    5. Click the Select button to generate the Check Reconciliation Summary Report. The Check Reconciliation Summary Report includes the following sections:
      • Transaction Summary - contains the Show hyperlinks to show the details of the deposits by each location and the count of checks in the following categories:
        • Issued Checks
        • Paid Checks
        • Stop Payments
        • Voids
        • Current Outstanding Checks
      • Daily Balance Summary
        • Current Balance
        • Outstanding Check Amount
        • Check Register Balance
      • Reconcilement History
        • Date of reconcilement hyperlink
        • Clear hyperlink to remove any existing reconciliation completed records
    6. Click the Show hyperlink to display the details of the check by each category in the Recap section at the bottom of the page. The report expands in the result area with a recap of the checks for the specific category.
    7. Click the Show hyperlink located in each row of the check details in the Recap section to view additional details, if applicable. A pop-up window appears with the additional details.
    8. Click the Print icon or Close button depending on the action you want to perform. The Check Reconcilement Summary Report appears.
    9. Select one of the following:
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Hide hyperlink in the Transaction Summary section to hide the additional details
      • Date hyperlink in the Reconcilement History section to view the date of reconcilement
      • Finish Reconciliation button in the Transaction Summary section to view the Check Reconciliation Summary Report for the specific location. An option to export to an Excel file will appear.
      • Cancel button to cancel the request

    Deposit Reconciliation Summary

    The Deposit Reconciliation Summary report is used to verify deposits made to an account. This report allows you to reconcile a full list of all deposits on an account or to reconcile deposits for each location separately.

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
    3. Select Deposit Reconciliation Summary from the Transaction Reports drop-down menu. The Deposit Reconciliation Summary page appears with the search parameters.
    4. Complete the following fields as necessary:
      • Account Name: The available accounts assigned to the client user.
      • Reconcile Through Date: The ending date of the reconciliation period. The beginning date of the reconciliation period is based upon the last reconciliation performed on the account. The first time an account is reconciled, all activity in the system up through the Reconcile Through Date is included.
    5. Click the Select button to generate the Check Reconciliation Summary Report. The Check Reconciliation Statement report generates with the appropriate records that match the parameters entered in step 4 with the following sections:
      • Transaction Summary - contains the Show hyperlinks to show the details of the deposits by each location and the count of checks in the following categories:
        • Location name/Location code
        • Count of deposits
        • Sum of amounts for each location
      • Reconcilement History
        • Date of reconcilement hyperlink
        • Clear hyperlink to remove any existing reconciliation completed records
    6. Select one of the following:
      • Show hyperlink, if available, to display the details of the deposit by each category
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Hide hyperlink in the Transaction Summary section to hide the additional details
      • Manage Locations hyperlink in the Transaction Summary section
      • Date hyperlink in the Reconcilement History section to view the date of reconcilement
      • Finish Reconciliation button in the Transaction Summary section to view the Check Reconciliation Summary Report for the specific location. An option to export to an Excel file will appear.
      • Cancel button to cancel the request

    Generating Issued Check File Processing Log

    Items can be selected by the Upload Date, Item Count or Dollar Amount. If a submitted file has errors, the user can drill down to view the errors by clicking in the Results column.

    1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
    2. Select System Reports in the left navigation menu. The System Reports drop-down menu expands.
    3. Select Issued Check File Processing Log Report from the System Reports drop-down menu. The Issued Check File Processing Log page appears.
    4. Complete the fields as necessary:
      • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
      • Upload Date (Start and End): The Upload Date field is used to search for processed issued check files based upon the upload date. If searching for a specific date, enter the date in both the Start and End date field.
      • Item Count: The Item Count field is used to search for processed issued check files based upon the number of items in the file.
      • Dollar Amount: The Dollar Amount field is used to search for processed issued check files based upon the total amount in the file.
    5. Click the Produce Report button to generate the Issued Check File Processing Log Report. The report generates with the appropriate records that match the filtered request.
      • Client Name
      • Account Name
      • File Type
      • Results
      • Items
      • Amount
      • Upload Date
      • User
      • File Name
      • View File Hyperlink
      • Processing Output Totals
      • File Status (Processed, Exception and Rejected)
      • Item Total
      • Amount Total
    6. Select one of the following:
      • Calendar option to view a specific time frame. Use the date range to define the parameters for the search to view the files that were uploaded during a specified time frame and click Refresh.
      • Excel icon to export the report to an Excel file
      • Print icon to print the report
      • Back to Filter button to return to the original report filter parameters
      • Processed or Rejected hyperlink in the Results column for the file you want to view
      • View File hyperlink for the file you want to view

    ACH Positive Pay

      Processing Exceptions

      View Exceptions

      The View Exceptions page is an efficient method of managing exception item activity. Exceptions are created based on the exception types Texas Capital Bank designated to be exceptions. This page allows you to make pay and return decisions on all items via one screen.

      1. In the left navigation menu of BankNow, click or tap Services then select ACH Positive Pay, this will direct you to the Positive Pay System.
      2. Select Exception Processing in the left navigation menu. The Exception Processing menu expands with the View Exceptions option in the sub-menu.
      3. Select View Exceptions from the Exception Processing drop-down menu. The View Exceptions page appears with the following options and columns:
        • Account Name - provides the user the ability to switch between accounts if the relationship has multiple accounts entitled to the product.
        • Display Type - select from both Check and ACH Exceptions, Check Exceptions Only or ACH Exceptions Only.
        • Hide exceptions already decisioned - provides the user the ability to view only items that are pending decisions.
        • Update button - provides the user the ability to update the result set based on the selections in the available options.
      4. Select the appropriate exception item to view and click the Update button to refresh the page.
      5. The View Exceptions page refreshes and displays the requested information based on the selected parameters.

      Searching ACH Transactions

      ACH Transaction Search

      1. In the left navigation menu of BankNow, click or tap Services then select ACH Positive Pay, this will direct you to the Positive Pay System.
      2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
      3. Select ACH Transaction Search from the Issued Items drop-down menu. The ACH Transaction Search page appears with the search parameters for the ACH transaction.
      4. Complete the following fields on the ACH Transaction Search page as necessary:
        • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
        • Paid Date (Start and End): The Paid Date field is used to search for transactions based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
        • Input Date (Start and End): The Input Date field is used to search for transactions based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
        • Transaction Amount (Start and End): The Transaction Amount field is used to search transactions based upon a specific dollar amount or dollar range. If searching for an exact amount, enter the amount in the Start field (the End field may be left blank).
        • SEC Code: To search for transactions based upon the ACH Standard Entry Class (SEC) code, select a code from the SEC Code drop-down menu.
        • Company ID: To search for transactions containing a specific ACH originating company identification number, enter the company ID value.
        • Transaction Description: To search for transactions based upon the partial or full transaction description text, enter the partial or full description text.
        • Transaction Status: To search for ACH transactions based on the status, select one of the following:
          • All Transaction Statuses
          • Current Exceptions (lists the current day's exceptions)
          • All Exceptions (lists exceptions the current day and previous days)
        • Decision: To search for exceptions based upon the pay/return decision, select one of the following from the Decision drop-down menu:
          • All Decisions
          • Pay
          • Return
        • Reason: To search for exceptions based upon the reason that was selected, select one of the following from the Reason drop-down menu:
          • All Reasons
          • Past Deadline Item Returned
          • Unauthorized
      5. Click the Produce Report button to generate the ACH Transaction Search Report. The ACH Transaction Search Report generates with the appropriate records that match the request entered.
      6. Click the Display hyperlink the in Details column to view or edit the details for each transaction. The details appear under the row of the transaction selected.Note: The grayed out detail fields are view only fields.
      7. Click the Back to Filter button to return to the ACH Transaction Search Page.

      Generating Transaction Reports

      ACH Transactions

      1. In the left navigation menu of BankNow, click or tap Services then select ACH Positive Pay, this will direct you to the Positive Pay System.
      2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
      3. Select ACH Transactions from the Transaction Reports drop-down menu. The ACH Transactions Report page appears with the search parameters.
      4. Complete the following fields as necessary:
        • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
        • Paid Date (Start and End): The Paid Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
        • SEC Code: To search for transactions based upon the ACH Standard Entry Class (SEC) Code, select a code from the SEC Code drop-down menu.
        • Company ID: To search for transactions containing a specific ACH originating company identification number, enter the company ID value.
      5. Click the Produce Report button to generate the ACH Transaction Report. The report generates with the appropriate records that match the filtered request.
      6. Select one of the following:
        • Calendar option to View a specific time frame by selecting the To and From date range. Then click the Refresh button to view the results.
        • Excel icon to export the report to an Excel file
        • Print icon to print the report
           

          Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

      Exception Items

      1. In the left navigation menu of BankNow, click or tap Services then select ACH Positive Pay, this will direct you to the Positive Pay System.
      2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
      3. Select Exception Items from the Transaction Reports drop-down menu. The Exception Items Report page appears with the search parameters.
      4. Complete the following fields as necessary:
        • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
        • Exception Date (Start and End): The Exception Date field is used to search for checks based upon the exception date. If searching for a specific date, enter the date in both the Start and End date field.
        • Exception Type: To search for transactions based upon the type of exception, select one of the following from the Exception Type drop-down menu:
          • Both Check and ACH Exceptions
          • Check Exceptions
          • ACH Exceptions
        • Decision: To search for checks based upon the pay/return decision, select one of the following from the Decision drop-down menu:
          • All Decisions
          • Pay
          • Return
        • Reason: To search for checks based upon the reason that was selected, select one of the following from the Reason drop-down menu:
          • All Reasons
          • Encoding Error
          • Fraudulent
          • Other
          • Past Deadline Item Returned
          • Refer to Maker
          • Stale Dated
          • Unauthorized
        • Include Reversals: To search for checks based upon reversals, select one of the following from the Include Reversals drop-down menu:
          • No
          • Yes
      5. Click the Produce Report button to generate the Exception Items Report. The report generates with the appropriate records that match the filtered request.
      6. Select one of the following:
        • Excel icon to export the report to an Excel file
        • Print icon to print the report
        • Back to Filter button to return to the original report filter parameters
           

          Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

      Cash Vault Services

      The SafePoint safe secures you cash, rejects counterfeits, counts deposits, and facilitates daily credit. For more information contact Treasury Support.

      Check Positive Pay

        Processing Exceptions

        View Exceptions

        The View Exceptions page is an efficient method of managing exception item activity. Exceptions are created based on the exception types Texas Capital Bank designated to be exceptions. This page allows you to make pay and return decisions on all items via one screen.

        1. In the left navigation menu of BankNow, click or tap Services then select ACH Positive Pay, this will direct you to the Positive Pay System.
        2. Select Exception Processing in the left navigation menu. The Exception Processing menu expands with the View Exceptions option in the sub-menu.
        3. Select View Exceptions from the Exception Processing drop-down menu. The View Exceptions page appears with the following options and columns:
          • Account Name - provides the user the ability to switch between accounts if the relationship has multiple accounts entitled to the product.
          • Display Type - select from both Check and ACH Exceptions, Check Exceptions Only or ACH Exceptions Only.
          • Hide exceptions already decisioned - provides the user the ability to view only items that are pending decisions.
          • Update button - provides the user the ability to update the result set based on the selections in the available options.
        4. Select the appropriate exception item to view and click the Update button to refresh the page.
        5. The View Exceptions page refreshes and displays the requested information based on the selected parameters.

        Viewing Issued Items

        Review All Checks

        Use this feature to view details of any issued check.

        Review All Checks

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.

        3. Select Review All Checks from the Issued Items drop-down menu. The Review All Checks page appears with the results filtered for the default Account Name in the following columns:
          • Status
          • Account Name
          • Issued Date
          • Paid Date
          • Check #
          • Amount
          • Issued Payee
          • Details (via a hyperlink)

        4. Select the Account Name from the drop-down menu to display the check transactions. The Review All Checks page refreshes with the results based on the Account Name selected and also displays the count of checks and total amount for all of the transactions listed.
        5. (Optional) Click the Show Key button to display the descriptions of the icons in the Status column. Click the Close Window hyperlink to return to the previous page.
        6. Click the Display hyperlink in the Details column to view the details for each individual check. The details appear under the row of the check selected.

        Note: The detail fields that are grayed out are view only fields.

        Upload Issued Item Check File

        The Upload Issued Check File screen is used by clients to upload issued check files to Texas Capital Bank.

        Upload Issued Item Check File

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
        3. Select Upload Issued Item Check File from the drop-down menu. The Upload Issued Item Check File page appears.

        4. Select a file to process by clicking on the Browse button and selecting the appropriate file.
        5. Input details about the file:
          • Account Name: Use the drop-down menu to select the account name
          • File Processing Type: Use the drop-down menu to select the file type (Standard CSV or Fixed Length)
        6. Click the Process File button to upload the file. The results of the file upload will appear.

        Note: Once a file is uploaded and processed, a window will be displayed indicating the processing status. The file processing status can also be checked online using the Issued Check File Processing Log screen under System Reports. The following is a list of the possible processing statuses:

        • Unprocessed: The file has been uploaded, but has not yet been processed.
        • Processed: The file was processed successfully.
        • Processed with Exceptions: The file was processed successfully, but duplicate checks were not loaded.
        • Rejected: The file was rejected due to one of the following reasons:
          • A mismatch between the number of items/amount entered on the screen and the number of items/amount contained in the file.
          • The file format did not match the format selected.

        Manually Add New Issued Check

        The Manually Add New Issued Check screen is used if a check was manually written or was otherwise not included in the electronic issued check file that was submitted to the financial institution.

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
        3. Select Manually Add New Issued Check from the drop-down menu. The Manually Add New Issued Check page appears.

        4. Input details about the check:
          • Account Name: Use the drop-down menu to select the appropriate account name
          • Check Number: The check number of this item
          • Amount: The amount of the check
          • Issued Date: The issued date for this check.
          • (Optional) Issued Payee: The issued payee name for this check.
          • Auto-Increment Check Number: Checking this box will increment the check number by one after each check submission.

        5. Click the Add Check button to manually add the new issued check.
        6. Confirmation screen will appear letting you know if the check was successfully added. Details will be displayed at the bottom of the screen for each added check.

        Void a Check

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.
        3. Select Void a Check from the drop-down menu. The Void a Check page appears.

        4. Input details about the check:
          • Enter check information
            • Account Name: Use the drop-down menu to select the appropriate account name
            • Check Number: The number of the issued check
            • Check Amount: The amount the check was written for
            • Issued Date: The date the check was issued
          Note: All three fields are required to void a check.

        5. Click the Find Matching Check button to find the check.
        6. Verify the check that will be voided from the results that appear.
        7. Click the Void Check button to complete the void process.

          Note: Voids are retained within the system for 90 days after an item has been voided.
        8. Confirmation screen will appear letting you know if the check was successfully added. Details will be displayed at the bottom of the screen for each added check.

        Check Search

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.

        3. Select Check Search from the Issued Items drop-down menu. The Check Search page appears with the search parameters for the check.

        4. Complete the following fields on the Check Search page as necessary:
          • Account Name: The available accounts assigned. Select up to three different accounts.
          • Issued Date (Start and End): The Issued Date field is used to search for transaction based upon the issued date of check. If searching for a specific date, enter the date in both the Start and End date field.
          • Paid Date (Start and End): The Paid Date field is used to search for transactions based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
          • Check Number (Start and End): The Check Number field is used to search for transactions based upon check numbers. A range of check numbers may be selected by entering both a Start and End check number. If searching for a single check, enter the check number in the Start field (the End field may be left blank).
          • Check Amount (Start and End): The Check Amount field is used to search for transactions based upon a specific dollar amount or dollar range. If searching for an exact amount, enter the amount in the Start field (the End field may be left blank).
          • Issued Payee: The Issued Payee field is used to search by the issued payee.
          • Transaction Status: To search for checks based on the status of the check, select one of the following:
            • All Transaction Statuses
            • Issued and Not Paid (lists outstanding issued checks)
            • Issued and Paid (lists paid checks)
            • Current Exceptions (lists today's exceptions)
            • All Exceptions (lists exceptions from the current day and previous days)
            • Void (lists voided checks)
          • Stop Pay Status: To search for checks in which a stop pay request has been issued, select one of the following:
            • All Stop Pay Statuses
            • Requested Stop Pay (stop payment request has been requested but has not been applied by the Bank)
            • Requested and Placed (stop payment applied by the Bank)
            • Item Stopped and Returned (item was presented for payment and stopped by the Bank)
          • Decision: To search for exceptions based upon the pay/return decision, select one of the following from the Decision drop-down menu:
            • All Decisions
            • Pay
            • Return
          • Reason: To search for exceptions based upon the reason that was selected, select one of the following from the Reason drop-down menu:
            • All Reasons
            • Duplicate
            • Fraudulent
            • Other
            • Past Deadline Item Returned
            • Refer to Maker
            • Stale Dated
        5. Click the Produce Report button to generate the Check Search Report. The Check Search Report generates with the appropriate records that match the parameters requested.
        6. To view details click the Display hyperlink in the Details column.

          Note: If a large number of items meet the search criteria, multiple pages will exist. Scroll to the bottom of the screen and select the Next button to view additional pages.
        7. (Optional) Click the Show Key button to display the descriptions of the icons in the Status column. Click the Close Window hyperlink to return to the previous page.
        8. Click the Back to Filter button to go back to the Check Search page.

        Paid Check Search

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Issued Items in the left navigation menu. The Issued Items drop-down menu expands.

        3. Select Paid Check Search from the Issued Items drop-down menu. The Paid Check Search page appears with the search results.

        4. Complete the following fields on the Paid Check Search page as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Paid Date (Start and End): The Paid Date field is used to search for transactions based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
          • Check Number (Start and End): The Check Number field is used to search for transactions based upon check numbers. A range of check numbers may be selected by entering both a Start and End check number. If searching for a single check, enter the check number in the Start field.
          • Check Amount (Start and End): The Check Amount field is used to search for transactions based upon a specific dollar amount or dollar range. If searching for an exact amount, enter the amount in the Start field.
          • Issued Payee (Start and End): The Issued Payee field is used to search by the issued payee.
        5. Click the Produce Report button to generate the Report. The Paid Check Search Report generates with the appropriate records that match the request entered.
           

          Note: If a large number of items meet the search criteria, multiple pages will exist. Scroll to the bottom of the screen and select the Next button to view additional pages.

        6. Click the View Image hyperlink in the Check # column for the paid check you want to view. The image of the paid check appears with the following fields and options:
          • Check # field
          • Paid Date field
          • Paid Amount field
          • Issued Date field
          • Exception field (only available if an exception exists)
          • Front tab (view the front of the check)
          • Back tab (view the back of the check)
          • Rotate Clockwise icon
          • Rotate Counterclockwise icon
          • Zoom Out icon
          • Zoom In icon
          • Reset Image icon
          • Download PDF icon
          • Close button

          Note: The system will display the following message if the check image in not available: "The check image cannot be retrieved due to insufficient"

        7. (Optional) Click the Show Key button to display the descriptions of the icons in the Status column. Click the Close Window hyperlink to return to the previous page.
        8. Click the Back to Filter button to go back to the Paid Check Search page.

        Generating Transaction Reports

        All Checks

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.

           

        3. Select All Checks from the Transaction Reports drop-down menu. The All Checks page appears with the search parameters.
        4. Complete the following fields as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
          • Paid Date (Start and End): The Paid Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
          • Input Date (Start and End): The Input Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
          • Exception Date (Start and End): The Exception Date field is used to search for checks based upon the exception date. If searching for a specific date, enter the date in both the Start and End date field.
          • Issued Payee: The Issued Payee field is used to search by the issued payee.
          • Decision: To search for checks based upon the pay/return decision, select one of the following from the Decision drop-down menu:
            • All Decisions
            • Pay
            • Return
          • Reason: To search for checks based upon the reason that was selected, select one of the following from the Reason drop-down menu:
            • All Reasons
            • Encoding Error
            • Fraudulent
            • Other
            • Past Deadline Item Returned
            • Refer to Maker
            • Stale Dated
            • Unauthorized
          • Include Reversals: To search for checks based upon reversals, select one of the following from the Include Reversals drop-down menu:
            • No
            • Yes
        5. Click the Produce Report button to generate the All Checks Report. The report generates with the appropriate records that match the filtered request.
           

          Note: If a large number of items meet the search criteria, multiple pages will exist. Scroll to the bottom of the screen and select the Next button to view additional pages.

        6. Select one of the following:
          • Excel icon to export the report to an Excel file
          • Print icon to print the report
          • Back to Filter button to return to the original report filter parameters
             

            Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

        Outstanding Issued Checks

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
        3. Select Outstanding Issued Checks from the Transaction Reports drop-down menu. The Outstanding Issued Checks page appears with the search parameters.
        4. Complete the following fields as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
          • Input Date (Start and End): The Input Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
          • As of Date (Start): The As of Date field is used to search for checks based upon the outstanding as of date. If searching for a specific date, enter the date in the Start date field.
          • Issued Payee: The Issued Payee field is used to search by the issued payee.
        5. Click the Produce Report button to generate the Outstanding Issued Checks Report. The report generates with the appropriate records that match the filtered request.
           

          Note: If the list of results in the report exceeds the page, use the scroll bar to view the additional results.

        6. Select one of the following:
          • Excel icon to export the report to an Excel file
          • Print icon to print the report
          • Back to Filter button to return to the original report filter parameters
             

            Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

        Daily Issued Checks Summary

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
        3. Select Daily Issued Checks Summary from the Transaction Reports drop-down menu. The Daily Issued Checks Summary page appears with the search parameters.
        4. Complete the following fields as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
        5. Click the Produce Report button to generate the Daily Checks Issued Summary Report. The report generates with the appropriate records that match the filtered request.
        6. Select one of the following:
          • Date Range by clicking the From field to select a date from the calendar, then click the To field to select the to date from the calendar.
          • Excel icon to export the report to an Excel file
          • Print icon to print the report
          • Back to Filter button to return to the original report filter parameters
             

            Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

        Paid Checks

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
        3. Select Paid Checks from the Transaction Reports drop-down menu. The Paid Checks page appears with the search parameters.
        4. Complete the following fields as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
          • Paid Date (Start and End): The Paid Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
          • Input Date (Start and End): The Input Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
          • Issued Payee: The Issued Payee field is used to search by the issued payee.
          • Include Reversals: To search for checks based upon reversals, select one of the following from the Include Reversals drop-down menu:
            • No
            • Yes
        5. Click the Produce Report button to generate the Paid Checks Report. The report generates with the appropriate records that match the filtered request.
        6. Select one of the following:
          • Excel icon to export the report to an Excel file
          • Print icon to print the report
          • Back to Filter button to return to the original report filter parameters
             

            Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

        Stops and Voids

        The Stops and Voids report option allows you to review the stopped and voided transaction that may meet any of the following criteria:

        • Identify when a stop Pay was requested
        • Identify when a stop pay was requested and placed
        • Identify when an item was stopped
        • Identify the void date of an item
        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
        3. Select Stop and Voids from the Transaction Reports drop-down menu. The Stop and Voids page appears with the search parameters.
        4. Complete the following fields as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Issued Date (Start and End): The Issued Date field is used to search for transactions based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
          • Void Date (Start and End): The Void Date field is used to search for transactions based upon the date the item was voided. If searching for a specific date, enter the date in both the Start and End date field.
          • Stop Placed (Start and End): The Stop Placed field is used to search for transactions based upon the date a stop payment was applied to this item by the bank. If searching for a specific date, enter the date in both the Start and End date field.
          • Item Stopped Date (Start and End): The Item Stopped Date field is used to search for transactions based upon the date the item was stopped. The item stopped date is only set on the checks that are presented for payment after being set up with a stop payment. If searching for a specific date, enter the date in both the Start and End date field.
          • Issued Payee: The Issued Payee field is used to search by the issued payee.
          • Stops and Voids Criteria: Select the applicable checkbox(es):
            • Requested Stop Pay (not applicable for Texas Capital Bank)
            • Requested and Placed Stop Pay (not applicable for Texas Capital Bank)
            • Item Stopped
            • Void
        5. Click the Produce Report button to generate the Stops and Voids Report. The report generates with the appropriate records that match the filtered request. Note: This report lists all outstanding issued checks that have been voided and/or match to current stop payments.
        6. Select one of the following:
          • Excel icon to export the report to an Excel file
          • Print icon to print the report
          • Back to Filter button to return to the original report filter parameters
             

            Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

        Exception Items

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
        3. Select Exception Items from the Transaction Reports drop-down menu. The Exception Items Report page appears with the search parameters.
        4. Complete the following fields as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Exception Date (Start and End): The Exception Date field is used to search for checks based upon the exception date. If searching for a specific date, enter the date in both the Start and End date field.
          • Exception Type: To search for transactions based upon the type of exception, select one of the following from the Exception Type drop-down menu:
            • Both Check and ACH Exceptions
            • Check Exceptions
            • ACH Exceptions
          • Decision: To search for checks based upon the pay/return decision, select one of the following from the Decision drop-down menu:
            • All Decisions
            • Pay
            • Return
          • Reason: To search for checks based upon the reason that was selected, select one of the following from the Reason drop-down menu:
            • All Reasons
            • Encoding Error
            • Fraudulent
            • Other
            • Past Deadline Item Returned
            • Refer to Maker
            • Stale Dated
            • Unauthorized
          • Include Reversals: To search for checks based upon reversals, select one of the following from the Include Reversals drop-down menu:
            • No
            • Yes
        5. Click the Produce Report button to generate the Exception Items Report. The report generates with the appropriate records that match the filtered request.
        6. Select one of the following:
          • Excel icon to export the report to an Excel file
          • Print icon to print the report
          • Back to Filter button to return to the original report filter parameters
             

            Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

        Stale Dated Checks

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select Transaction Reports in the left navigation menu. The Transaction Reports drop-down menu expands.
        3. Select Stale Dated Checks from the Transaction Reports drop-down menu. The Stale Dated Checks Report page appears with the search parameters.
        4. Complete the following fields as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Issued Date (Start and End): The Issued Date field is used to search for checks based upon the issued date. If searching for a specific date, enter the date in both the Start and End date field.
          • Input Date (Start and End): The Input Date field is used to search for checks based upon the date the item posted. If searching for a specific date, enter the date in both the Start and End date field.
          • As of Date (Start): The As of Date field is used to search for checks based upon the outstanding as of date. If searching for a specific date, enter the date in the Start date field.
          • Issued Payee: The Issued Payee field is used to search by the issued payee.
        5. Click the Produce Report button to generate the Stale Dated Checks Report. The report generates with the appropriate records that match the filtered request.
           

          Note: If the list of results in the report exceeds the page, use the scroll bar to view the additional results.

        6. Select one of the following:
          • Excel icon to export the report to an Excel file
          • Print icon to print the report
          • Back to Filter button to return to the original report filter parameters
             

            Note: View the total dollar amount from the checks that are listed in the report by scrolling down to the bottom of the page.

        Generating System Reports

        Issued Check File Processing Log

        Items can be selected by the Upload Date, Item Count or Dollar Amount. If a submitted file has errors, the user can drill down to view the errors by clicking in the Results column.

        1. In the left navigation menu of BankNow, click or tap Services then select Account Reconciliation, this will direct you to the Positive Pay System.
        2. Select System Reports in the left navigation menu. The System Reports drop-down menu expands.

        3. Select Issued Check File Processing Log Report from the System Reports drop-down menu. The Issued Check File Processing Log page appears.
        4. Complete the fields as necessary:
          • Account Name: The available accounts assigned to the client user. Select up to three different accounts.
          • Upload Date (Start and End): The Upload Date field is used to search for processed issued check files based upon the upload date. If searching for a specific date, enter the date in both the Start and End date field.
          • Item Count: The Item Count field is used to search for processed issued check files based upon the number of items in the file.
          • Dollar Amount: The Dollar Amount field is used to search for processed issued check files based upon the total amount in the file.

        5. Click the Produce Report button to generate the Issued Check File Processing Log Report. The report generates with the appropriate records that match the filtered request.
          • Client Name
          • Account Name
          • File Type
          • Results
          • Items
          • Amount
          • Upload Date
          • User
          • File Name
          • View File Hyperlink
          • Processing Output Totals
          • File Status (Processed, Exception and Rejected)
          • Item Total
          • Amount Total
        6. Select one of the following:
          • Date Range defines the parameters of a search. Once specified, click Refresh.
          • Excel icon to export the report to an Excel file
          • Print icon to print the report
          • Back to Filter button to return to the original report filter parameters
          • Processed or Rejected hyperlink in the Results column for the file you want to view
          • View File hyperlink for the file you want to view

        Controlled Disbursement (CDA Plu$)

        An early morning reporting file from the Federal Reserve tells Texas Capital Bank which checks are clearing that day for designated accounts. Log into BankNow and under the Services menu select Controlled Disbursements (CDA Plu$) to view the inclearing checks.

        You can make Pay / No Pay decisions as well as fund the inclearing checks “just in time” from a Master Operating Account.

        For more information contact Treasury Support.

        Remote Deposit Capture

        The Texas Capital Bank Remote Deposit Capture solution provides you with a secure and cost-effective way to make check deposits electronically from your own location. Our easy-to-use system reduces inefficiency and risk associated with paper-based check deposits.

        For the best video quality, click on the HD button next to the volume control. Select the 720p video or the highest quality video available.

          How It Works

          From a desktop scanner attached to a computer at any business location, simply scan and transmit checks to Texas Capital Bank for deposit into your account. An electronic image of checks and any supporting documents are securely transmitted to our centralized processing location. Checks are cleared electronically the same day, and funds are available to you the next business day. If you have any questions about Remote Deposit Capture, please contact Treasury Support at 1.800.839.2801 or email us at: [email protected] .

          System Requirements

          To access the Remote Deposit Capture system, ensure your system meets the following requirements:

          • Microsoft® Internet Explorer® browser, Version 11
          • Microsoft Windows® 7, 8.1 or 10 operating systems (Windows XP is not supported)

          Installation

          Each workstation computer will need to complete the installation process prior to logging into the Remote Deposit Capture system. You may use the Remote Deposit Capture Installation Guide during your installation call with Treasury Support to ensure each step is correctly completed.

          Training

          Training materials are available to assist you with various functions within the Remote Deposit Capture system. A list of common training topics and additional information on your specific scanner can be found at the following location.

          To Access Training Materials

          1. On the main menu, select Training.
          2. Select the appropriate Training Option topic to learn more about the Remote Deposit Capture system.

          Log In To The Remote Deposit Capture System

          To access the Remote Deposit Capture system, you will need to contact your System Administrator to request the following information:

          • Login Name
          • Temporary Password

          Once you log in to the Remote Deposit Capture system, you will be required to change your password. If you are unable to log in, please contact Treasury Support at 1.800.839.2801.

          To Log In to Remote Deposit Capture

          1. Use the link in your browser's Favorites provided by the Treasury Management Client Support Representative to log in to the Remote Deposit Capture system.
          2. In the Login field, enter your login name.
          3. In the Password field, enter your password.
          4. In the Access Code field, enter your access code provided to you by your System Administrator.
          5. Click the Always use this access code checkbox.
          6. Click the Log In... button. You will be prompted to change your password upon initial login.

            Password requirements:

            1. Cannot contain your login name
            2. Cannot be previous password
            3. Minimum length is 8 characters
            4. Must contain at least 1 alphanumeric, 1 numeric and 1 special character
          7. In the New Password field, enter your new password.
          8. In the Confirm Password field, enter your new password.
          9. Click the Submit button.
          10. Click the Continue button. The page will update, showing your login name, last login date, and when your password will expire.
          11. Click the Continue button.

          Capturing Deposits

          The Capture Deposits feature provides you the ability to capture deposits or edit existing transactions prior to the effective date. As you capture deposits, a status message will provide you additional information throughout the process and help identify any capture errors.

          To Capture a Check

          1. On the main menu, click Capture Deposits.
          2. Use the Location drop-down menu to select the appropriate location.
          3. Use the Account drop-down menu to select the appropriate deposit account.
          4. Use the Amount field to enter the total deposit amount.
          5. Click the Create Deposit button. The Check Capture screen appears.
          6. Place the items in the scanner, and then click the Scanning button.

            First-Time Scanning?

            1. Click the Scanner Info button.
            2. In the Scanner Information window, use the Scanner Type drop-down menu to select the appropriate scanner.
            3. Under Full Page Scanning, use the Scanner drop-down menu to unselect the default scanner.
            4. Uncheck the Duplex Scan checkbox.
            5. Click the OK button.
          7. Once the capture is complete, click the Keying button.

            Note: Any items that need attention will be highlighted in yellow. Refer to the Status Message for specific instructions on how to complete the item, and press the Enter key to move to the next field.

          8. Once the transaction is balanced, click the Close button to prepare to release the transaction to the central processing site.

            Note: When closing a transaction you must select one of the following three options:

            • Defer - Allows you to save your current transaction to modify at a later date. To modify a deferred transaction, click Capture Deposits, the highlight the deposit under Existing Deposits. Click the Edit Deposit button.
            • Release - Allows you to release a completed transaction for processing.
            • Delete - Allows you to delete your current transaction, along with any associated data, from the system.

          Transmitting Deposits

          The Transmit Deposits feature allows you to select a batch(es) to transmit to Texas Capital Bank for processing. All transactions transmitted before 8:30 p.m. CST will be available the following business day.

          To Transmit a Transaction

          1. On the main menu, click Transmit.
          2. Click the Transmit button.

            Note: Once the transaction has been transmitted, you have the ability to perform the following actions:

            • View Report - Allows you to open a detailed report for the selected transmission in PDF format. The report will display similar information to the current report.
            • View Images - Allows you to open a report that includes the images and MICR information contained in the selected transmission in PDF format.
            • View Transmissions - Allows you to view transmissions with the following criteria:
              • Show all transmissions
              • Show just released
              • Show released and recently transmitted

          Exporting Transactions

          The Export feature allows you to export transaction information for a specific calendar date or a range of dates and location.

          To Export Transaction Information

          1. On the main menu, click Export.
          2. Use the Select Export Method drop-down menu to select the appropriate format.
          3. Use the calendar tool to select a Start Date and End Date.
          4. Select the application Location(s) and Account(s) to include in the export by clicking the corresponding double arrows.
          5. Click the Begin Export button.
          6. Click the Open button in the File Downloaded Form window.

          Building And Generating Reports

          The Reports feature allows you to build customized reports on the Remote Deposit Capture data specific to each location and account within the past 90 days. The report parameter fields may vary depending on the report being requested.

          To Generate a Report

          1. On the main menu, click Reports.
          2. Use the Select Report drop-down menu to select the appropriate report.
          3. Use the calendar tool to select a Start Date and End Date.
          4. Select the applicable report parameters to include in the report by clicking the corresponding double arrows.
          5. Once all the report criteria are selected, click the Generate Report button.

          Report Name Description
          Transaction Status Provides information by Presenter on the current status of items within the capture system, whether they are In Progress, Released or Acknowledged.
          Deposit Summary Provides a summary of Capture Deposit data for a given processing date or range of dates. The report may be run for a single capture Location or across multiple Locations.
          Deposit Detail Provides details of Capture Deposit data for a processing date or range of dates.
          Deposit Adjustment Provides a recap of all deposit correction actions made at the central site against a particular deposit account.
          CAR/LAR Provides optical recognition statistics for the selected Presenter(s) and Location(s).
          Workflow Audit Provides a valuable history of various actions taken by Users within the platform.
          Login Audit The report shows a history of the Login activity for Users by Presenter and User ID.

          Conducting Research

          The Research feature provides you the ability to use a variety of search criteria to review specific captured items or entire transmitted transactions within the past 90 days.

          To Conduct Research

          1. On the main menu, click Research.
          2. Use the calendar tool to select a Start Date and End Date.
          3. Enter the appropriate information for one of the following types:
            • Query for Items - Allows you to view information on a specific captured item
            • Query for Transmissions - Allows you to view information on an entire transmitted transaction
          4. Use the Look For drop-down menu to select the following options:
            • To query for items, select Check
            • To query for transmissions, select Deposits
          5. Use the Where drop-down menu to select the criteria from which to search.
          6. Use the Is drop-down menu to select the criteria from which to search.
          7. Enter a value amount in the provided text field.
          8. Use the Sort drop-down menu to choose how you want to sort the query results.
          9. Once all the search criteria are entered, click the Search button.

          Configuring Users

          The Configuration feature allows the System Administrator to add, modify or delete Remote Deposit Capture users.

          1. On the main menu, click Configuration.
          2. Click the New User button.
          3. In the User Name field, enter the new user's name.
          4. (Optional) In the Description field, enter a brief description of the new user.
          5. In the Login Name field, enter the new user's login name (e.g. John Doe).
          6. In the New Password field, enter a password.
          7. In the Confirm Password field, re-enter the password.
          8. Leave the default settings for the following options:
            • Days before password expires - After the set number of days, the account is locked, checkbox will become checked, and a user will not be able to log in.
            • Allowed failed login attempts - After the set number of attempts, the account is locked, checkbox will become checked, and a user will not be able to log in.
            • Inactive days before locking - After the set number of inactive days, the account is locked, checkbox will become checked, and a user will not be able to log in.
          9. Click the OK button.
          10. In the Select a user list, select the new user.
          11. Select the role(s) for the new user by clicking the appropriate checkbox in the Select Roles list:
            • Capture Deposits - Allows the user to perform all functions related to the transaction with the exception of transmitting
            • Site Admin No Capture No Transmit - Allows the user to perform only administrative functions, as well as view reports. No scanning of items is allowed
            • Research - Allows the user to review reports, as well as perform inquiries
            • Site Transmit - Allows the user to submit the transaction for processing

            Note: To view tasks available for each role, select the role from the drop-down menu. Click View Details for selected role to verify this role contains the tasks needed. If multiple roles are selected, you are granted the highest level of rights provided by the different roles.

          12. Next, establish the user’s access rights to location(s) and accounts(s) by selecting a task in the User Tasks window, and then clicking the Edit Access Rights button.
          13. Once all the locations and accounts are selected, click the OK button.
          14. Review and confirm the selected role(s) and user access rights for the new user. Contact Treasury Support at 1.800.839.2801 if a new Computer Activation Code is required.
          15. Provide the new user with the following information:
            • Login Name
            • Password
            • Computer Activation Code

          Stop Payment

            Requesting Stop Payment

            You are able to request stop payments on one or more checks in Online Banking and the Mobile Banking App. A stop payment request does not guarantee that the check or checks will be stopped. The item may have already been processed and posted to the account.

            To create a stop payment request:

            1. In the left navigation menu, click or tap Services then select Stop Payment. Stop Payments page appears.
            2. Select the appropriate Account Number from the drop-down menu.
            3. Click or tap one of the following:
              1. Single Check
              2. Range of Checks
            4. Enter all of the check information that you have for the stop payment:
              1. If you select Single Check:
                • Check Number
                • (Optional) Issue Date
                • (Optional) Check Amount
                • (Optional) Payee
                • (Optional) Reason
              2. If you select Multiple Checks:
                • From Check Number
                • To Check Number
                • (Optional) Reason
            5. Select the “I agree to the terms of the Stop Payment Disclosure” checkbox.
            6. Click or tap Submit.

            Can’t Find the Answer?

            If you have questions that are not addressed in the knowledge center, please contact Treasury Support at 1.800.839.2801 or email [email protected].