Intraday Balancing

The intraday balancing page provides a configurable, real time view of how transactions are being processed during the day. The user defines intraday accumulator groups, which allow accumulators to be aggregated, to provide summary totals that are meaningful to the way their financial institution chooses to manage the processing workflow. Intraday accumulator groups are configured with a summary type of either inbound or outbound.

For example, an experienced user might notice that there are monetary amounts in one of their outbound intraday accumulator groups that are larger than normal. They may decide that some investigation or corrective action is necessary. Similarly, other outbound intraday accumulator groups displayed in the outbound summary table may provide the user with important information about the status of the processing activity for the day.

For an accumulator group to be displayed on this page, it must be configured with intraday settings. For more information about configuring accumulator groups, see Manage Accumulator Groups Pages.