Daily account balance
daily account balance report the daily account balance by partner report provides a daily snapshot of account balances for all master accounts belonging to a single partner use this report to reconcile between what you requested from the cross river operating system (cos) and what cos actually processed and settled term description cr cross river partner cross river's immediate customer, i e you report details the table below shows the different columns included in the report together with descriptions and explanations of the information they represent column description account number the master account number account title descriptive title or name of the account account type type of account (deposit, wallet, general ledger, or credit card) date account opened the date the account was originally opened in cos available balance the available balance, which reflects the current balance minus any holds or pending transactions current balance the current ledger balance, which is the actual settled balance of the account after all posted transactions understanding balance types the report includes two different balance values for each account current balance the current balance (also called ledger balance) represents the actual settled balance of the account after all posted transactions this is the authoritative balance that includes all hard posted transactions that have completed the settlement process available balance the available balance represents funds that are immediately accessible for transactions it is calculated as current balance holds pending authorizations +/ memo posts the difference between current balance and available balance represents funds on hold (reducing available balance) temporary memo post adjustments pending transactions not yet settled report generation and delivery the account balance report is generated and delivered automatically once you have completed the cos reports onboarding process generation schedule reports are generated daily at 3 00 am est files are uploaded immediately following generation you receive a notification when the report is uploaded file location and naming sftp path \\\sftp01\ptps\\\<partner name>\prod\cos\dailyreports\accountbalance file name \[partnername] daily account balance \[timestamp] csv format csv (comma separated values) encryption pgp encrypted file retention report files in the sftp folders are not deleted automatically alternative formats while the standard format is csv, you can request alternative delivery formats mt940 (swift statement format) pdf contact your relationship manager for assistance with alternative report formats