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Day 7
    On day 7, the merchant processes three debit transactions totaling $2,000 and no credit
			transactions. $2,000 is moved to the settlement account. $5,750 is funded from day 4,
			based on the settlement account balances, minus days 5 and 6, and day 7 debit amounts.
			Reconciliation reports are generated for day 4 transactions and day 7 credits. 
On day 7, a chargeback details report is generated because two returns were sent back by
			payment processors. A debit for $1,500 was returned because of an incorrect account number,
			and a credit for $250 was returned because the account was closed. The reason codes listed in
			the chargeback details report are ACH return codes.