EDI Dictionary
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X12 Release 5010
X12 Release
4010
4020
4030
4040
4050
4060
5010
5020
5030
5040
5050
6010
6020
6030
6040
6050
7010
7020
7030
7040
7050
7060
8010
Transaction Sets
Segments
Elements
EDI-Dictionary
5010
820 Payment Order Remittance Advice
ASM-5400
107-2
107
Payment Method Type Code
Code identifying type of payment procedures
Batch
Element Details
Type
ID
Length
Min 1 / Max 2
Codes
<>
L
Letter of Credit
<>
AE
Money Order
<>
G
CCD (NACHA Cash Concentration/Disbursement - Funds Transacted without Remittance Information)
<>
W
Waived
<>
AC
Credit Card
<>
J
CTX (NACHA Corporate Trade Exchange - Transaction Plus Remittance Detail in ANSI Standard Flexible Format)
<>
AD
Direct Deposit
<>
M
Deduction from Film Rental
<>
P
Previously Charged
<>
K
Private Netting, Pay by Check
<>
AB
Cash
<>
N
Billing Account
<>
AG
Travelers Check
<>
A
Private Netting Agreement, Pay by Wire Transfer
<>
1
Graduated
<>
Q
Petroleum Clearinghouse Bank
<>
D
Debited
<>
4
Level (Sum Constant)
<>
T
Wire Transfer
<>
AF
Special Account
<>
O
CTP (NACHA Corporate Trade Payment - Transaction Plus Remittance Detail in Fixed Format)
<>
B
Compensation by Balance
<>
2
Income Sensitive
<>
R
Related Detail Account
<>
E
Electronic Payment System
<>
U
Direct Pay to Others
<>
AA
Bank Draft
<>
H
CCD+(NACHA Cash Concentration/Disbursement - Funds Transacted Plus an 80 Record Remittance Detail)
<>
8
Credit Account
<>
X
In Kind Payment
<>
C
Pay By Check
<>
3
Income Contingent
<>
S
Summary Account
<>
V
Lock Box
<>
F
Freight Payment Bank
<>
Y
Credit
<>
I
Invoiced Separately