Treasury :: Bureau of the Fiscal Service
Enterprise Data Architecture
Transmission Data Exchange


Data Exchange Catalogue
Transmission
Summary
Batch
BusinessTransaction
FinancialTransaction [0..unbounded]
PlasticCardDetail [0..1]
ACH_Detail [0..1]
FedwireDetail [0..1]
CheckDetail [0..1]
Payer [0..1]
Payee [0..1]
GovernmentDepositAccount [0..1]
SummaryReference [0..1]
OriginalFinancialTransactionReference [0..1]
OriginalSummaryReference [0..1]
ForeignCurrency [0..1]
TradingPartnerExtensions [0..1]

Element Information
NameFinancialTransaction
DefinitionThe management of funds between a payer and payee for a specific business event.
DataTypeContainer
Attribute Information
Attribute NameUseDataTypeDefinition
IDrequired String [0, 80]An identifier for the record. For a receiving system, this value can be used to reconcile updates to an existing record and qualify new records. For a sending system, this value can be used to reconcile acknowledgements for the submitted records.
AgencyTransactionIdentifieroptional String [0, 80]Identifier for a transaction (may not be unique), as provided by an agency.
SettlementTransactionIdentifieroptional String [0, 80]Identifies a transaction (may not be unique) within a settlement service.
ChannelTransactionIdentifieroptional String [0, 80]Identifies a transaction (may not be unique) within a channel application.
CollectionStatusCodeoptionalCancelled [The financial transaction has been cancelled before submission to the settlement mechanism.], Rejected [The financial transaction has been rejected by the settlement mechanism.], Retired [No more collection efforts will be initiated on the financial item and the agency is debited for the uncollected funds.], Settled [The financial transaction has been settled.], In-Process [The financial transaction has been delivered to the settlement mechanism but has not settled.], Received [The financial transaction has been submitted to the channel.], Unknown [The status of the financial transaction is not known.]Identifies the status of a transaction; i.e., where it is in its lifecycle.
CollectionTransactionTypeoptionalAdjustment [A financial transaction that represents a monetary adjustment to an existing transaction.], Chargeback [A card transaction where one or more items are returned.], Collection [A financial transaction that is the initial settlement of the payment.], Correction [A financial transaction that represents a change to classification and non-monetary information for an existing transaction.], Informational [A financial transaction that does not have a monetary accounting outcome.], Re-presentment [A financial transaction that is not the initial settlement of the payment.], Return/Reversal [A financial transaction where the payment was returned to the payer.], Unknown [Financial transactions of an unknown type.]Standard transaction types which represent a high-level categorization of a financial transaction that is used to help identify what type of transaction activity the financial transaction represents.
PayerMechanismCodeoptionalCash [Coin or paper currency.], Check [Indicates a settlement using Check21 or paper method.], CreditCard [Indicates a settlement using a plastic card that was used to make a payment drawn on a line of credit.], DebitCard [Indicates a settlement using a plastic card that was used to make payment drawn on a bank account maintained for the cardholder.], SVC [Stored Value Card], ACH [A transaction that takes place across the Automated Clearing House (ACH) Network.], Book Entry [Indicates a settlement using an electronic general ledger entry.], Wire [A transaction done through the Federal Reserve Banks as a real-time electronic funds transfers.], EBT [Electronic Benefits Card], Western Union [Western Union]Identifies the payment medium for the transaction.
IsCreditrequired 1|0Indicates if the item is a debit or credit so it can be interpreted as a positive or negative value.
IsTaxoptional 1|0Indicates if the item is a tax transaction.
BankPostingDateoptional YYYY-MM-DDThe date that funds are credited to or debited from a Treasury account.
ProgramTraceIdentifieroptional String [0, 80]Identifier provided by the financial agent to support traceability through the collection lifecycle.
SettlementMechanismCodeoptionalCash [Coin or paper currency.], Cash/Und Check [Indicates settlement that is either cash and/or checks settled by Check21 or paper method.], Book Entry [Indicates a settlement using an electronic general ledger entry.], Check [Indicates a settlement using Check21 or paper method.], ACH [A transaction that takes place across the Automated Clearing House (ACH) Network.], Wire [A transaction done through the Federal Reserve Banks as a real-time electronic funds transfers.], Card [A transaction using a Plastic Card settlement service.], SVC [Stored Value Card], NSS [Net Settlement Service], IAS [FRB Integrated Account System], Other [Indicates a settlement used other than Cash, Cash/Und Check, Check, Book Entry, ACH, Wire, Card, SVC, NSS, IAS]Identifies the mechanism by which a transaction is settled.
ReceiptMechanismCodeoptionalCash [Coin or paper currency.], Cash/Und Check [Indicates settlement that is either cash and/or checks settled by Check21 or paper method.], Book Entry [Indicates a settlement using an electronic general ledger entry.], Check [Indicates a settlement using Check21 or paper method.], ACH [A transaction that takes place across the Automated Clearing House (ACH) Network.], Wire [A transaction done through the Federal Reserve Banks as a real-time electronic funds transfers.], Card [A transaction using a Plastic Card settlement service.], SVC [Stored Value Card], NSS [Net Settlement Service], IAS [FRB Integrated Account System], Other [Indicates a settlement used other than Cash, Cash/Und Check, Check, Book Entry, ACH, Wire, Card, SVC, NSS, IAS]The format of a financial instrument as received by a collections channel program.
ChannelTypeoptionalOTC [Over The Counter], Mail [Mail], Internet [Electronic], Phone [Phone], Bank [Bank]Refers to the general channel category through which Fiscal Service receives a transaction: OTC, mail, Internet, phone, and bank.
ReasonTextoptional String [0, 100]Description of the reason for the type of corrective or return transaction.
ReasonCodeoptional String [0, 35]Internal code to identify the reason for the type of corrective or return transaction.
GatewayReceiptDateoptionalYYYY-MM-DD or YYYY-MM-DDTHH:MM:SSIndicates the date that a settlement gateway or provider receives financial data for processing.
SettlementStatusCodeoptional String [3, 3]The settlement status code reported by the Debit Gateway that identifies how the transaction was settled.
IsNonDomesticoptional 1|0Indicates whether the entity or transaction is considered non domestic.
GroupIdentifieroptional String [0, 80]A generated identifier used to link transactions within the same lifecycle.
AmountrequiredDecimal [20, 2]Min Inclusive: 0.00The transaction amount.
Technical Information
Schema versionurn:us:gov:treasury
Cardinality[0..unbounded]
Content ModelThe <FinancialTransaction> element contains 12 children elements and has a multiple content model where there exists more than one content model (sequence, choice, all or some combination of these three content models). Please review the XML Schema document to fully understand the implications of the multiple content model.


For help, please contact the Treasury Bureau of the Fiscal Service Data Registry team.
Last Updated: 2015-01-17T06:09:53.339-05:00

This web site is informative only and may contain publishing errors/inconsistencies - please carefully review the appropriate XML Schema documents in the Download section.