EDI 822 Customer Account Analysis
Functional Group AA
X12F Finance Subcommittee
This Draft Standard for Trial Use contains the format and establishes the data contents of the Customer Account Analysis Transaction Set (822) for use within the context of an Electronic Data Interchange (EDI) environment. The transaction set can be used to transmit detailed balance, service charge and adjustment detail primarily from a bank to its corporate clients. However, this transaction set can also be used between or within corporations.
Heading
- 010Transaction Set HeaderMandatoryMax 1
To indicate the start of a transaction set and to assign a control number
- 020Beginning SegmentMandatoryMax 1
To indicate the beginning of a transaction set
- 030Date/Time ReferenceMandatoryMax 3
To specify pertinent dates and times
At least one DTM segment, for the period-ending date, must be used. Others are period-starting date and statement-issued date. - 040NameOptionalMax 1
To identify a party by type of organization, name, and code
Identifies the forwarder of this transaction. Where the forwarder and the financial institution identified in elements ENT02-04 are different entities, the use of this segment is recommended. - 050Additional Name InformationOptionalMax 2
To specify additional names or those longer than 35 characters in length
- 060Address InformationOptionalMax 2
To specify the location of the named party
- 070Geographic LocationOptionalMax 1
To specify the geographic place of the named party
- 090Administrative Communications ContactOptionalMax 3
To identify a person or office to whom administrative communications should be directed
- 095CurrencyOptionalMax 1
To specify the currency (dollars, pounds, francs, etc.) used in a transaction
This CUR identifies the default currency for the entire account analysis. - RTE Loop OptionalRepeat >1
- 100Rate InformationMandatoryMax 1
To specify the earnings, rates and multipliers for this account
This RTE identifies the default rate(s) for the entire account analysis. - 105Date/Time ReferenceOptionalMax 1
To specify pertinent dates and times
- 100Rate InformationMandatoryMax 1
Detail
- ENT Loop MandatoryRepeat >1
- 005EntityMandatoryMax 1
To designate the entities which are parties to a transaction and specify a reference meaningful to those entities
Provides numeric identification of the originating financial institution and the receiving corporate entity, related to specific account (s). - N1 Loop OptionalRepeat >1
- 010NameMandatoryMax 1
To identify a party by type of organization, name, and code
This N1 is the receiver of the financial statement. - 020Additional Name InformationOptionalMax 2
To specify additional names or those longer than 35 characters in length
- 030Address InformationOptionalMax 2
To specify the location of the named party
- 040Geographic LocationOptionalMax 1
To specify the geographic place of the named party
- 060Administrative Communications ContactOptionalMax 3
To identify a person or office to whom administrative communications should be directed
- 010NameMandatoryMax 1
- ACT Loop OptionalRepeat >1
- 100Account IdentificationMandatoryMax 1
To specify account information
- 103CurrencyOptionalMax 1
To specify the currency (dollars, pounds, francs, etc.) used in a transaction
This CUR overrides for a particular account the default currency identified in Table 1. - 105Adjustments to balances or servicesOptionalMax 1000
To identify adjustments to account balances or service charges on the account
- RTE Loop OptionalRepeat >1
- 106Rate InformationMandatoryMax 1
To specify the earnings, rates and multipliers for this account
This RTE overrides for a particular account the default rate(s) identified in Table 1. - 107Date/Time ReferenceOptionalMax 1
To specify pertinent dates and times
- 106Rate InformationMandatoryMax 1
- LX Loop OptionalRepeat >1
- 110Assigned NumberMandatoryMax 1
To reference a line number in a transaction set
The LX value is associated with each instance of the LX loop. Multiple balances for the same period are reported within one LX loop. - 120Balance InformationOptionalMax >1
To provide specific balance information for financial account reporting
BLN04 through BLN06 are not recommended for usage in transaction set 822. The time period of the analysis is defined in the DTM segment. - 130Date/Time ReferenceOptionalMax 5
To specify pertinent dates and times
The DTM segment is used to reflect the time period of the analysis.
- 110Assigned NumberMandatoryMax 1
- SER Loop OptionalRepeat >1
- 140Service ChargesMandatoryMax 1
To specify the details of the service charges levied
- 145Pricing InformationOptionalMax 99
To specify pricing information
- 150Date/Time ReferenceOptionalMax 5
To specify pertinent dates and times
- 140Service ChargesMandatoryMax 1
- 100Account IdentificationMandatoryMax 1
- 005EntityMandatoryMax 1
- 160Transaction Set TrailerMandatoryMax 1
To indicate the end of the transaction set and provide the count of the transmitted segments (including the beginning (ST) and ending (SE) segments)