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Resource Online PRO with Instant Dashboard Quick Reference Guide

Resource Online PRO with Instant Dashboard Quick Reference Guide

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For AdditionalAssistanceFor training orassistance inunderstandingreport data, you cancontact support or call1.888.886.8869.For technicalsupport, call1.800.254.9556,or emailRTLWebReporting@ChasePaymentech.com.<strong>Resource</strong> <strong>Online</strong> <strong>PRO</strong> <strong>with</strong> <strong>Instant</strong> <strong>Dashboard</strong> <strong>Quick</strong> <strong>Reference</strong> <strong>Guide</strong> cont.Running Reports1. Click on a dashboard panel to see more details, or select from the navigation menu toopen a report’s input page.2. Select the hierarchy or merchant level for the data you wish to view (you areautomatically at the highest level by default when logging in).3. Enter your report criteria and click Generate Report.4. The results page displays the data records that match your specified criteria.Available ReportsVirtual Transaction Manager - 24/7 real-time access to your transaction and batch authorization data• Batch Summary report - Provides a summary for each group of transactions in open or closed batches,<strong>with</strong> counts and amounts of the batch total, including sales, returns and errors <strong>with</strong> drill down from eachbatch to view underlying batch and transaction detail records.• All Transactions report - Includes settled transactions in closed batches for the selected date range.• Transaction Search report - Allows you to find transactions that meet the selected criteria.Recon Solution - an access point for retrieving reconciliation data for deposits, processing fees and more• All Transactions report - Contains records of every transaction processed, including settled and nonsettled.• Batch Summary report - Provides a summary for each batch of transactions submitted, <strong>with</strong> counts andamounts of the batch total, including settled, non-settled and adjustment amounts, <strong>with</strong> drill down fromeach batch to view underlying transaction detail records.• Settlement Summary Select report - Summary of daily funding and adjustment amounts by merchant tohelp you reconcile your daily bank deposits.Report Icons• Go To Beginning• Previous• Next• Go To End• Page Size• Preferences• Print• Download• ExcelAdminUser accounts <strong>with</strong> administrative rights have the optionto select from the Admin menu and accomplish thefollowing tasks:• Set up users• Delete users• Edit user details• Change report accessMore InformationVisit the How Tos & <strong>Reference</strong> <strong>Guide</strong>s page onwww.chasepaymentech.com to access:• <strong>Resource</strong> <strong>Online</strong> how-to content and videos• <strong>Resource</strong> <strong>Online</strong> <strong>PRO</strong> User <strong>Guide</strong>• How to Read Your Statement Interactive Tool• Statement Reader <strong>Guide</strong>©2013, Chase Paymentech Solutions, LLC. All rights reserved.

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