Check Processing
The
Checks are received by the Banks all around Europe
during the working hour in morning and afternoon
and send for Extraction of data into database.
The Checks are sorted out into different Bank
Codes using the automated sorter, the Checks are
processed for extraction of amounts and dates,
the database is sent back to the bank by the closing
hour on the same day.
Our
Client provides batches of images for the creation
of database output. ISN-data generates the output
required within a turnaround time of 10 minutes
per batch from the receipt of images, for the
final submission to the bank by our client.
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