- Print
- PDF
Article summary
Did you find this summary helpful?
Thank you for your feedback
Vendor field definitions
Vendor Information section
- Label – This is the name for this vendor interface. “Metro 2” is the recommended value.
- Identifier – This is internal identifier. “METRO2” is the recommended value.
- Export Flag Identifier – This is the value of the flag used to select accounts for credit reporting.
- “METRO2” is the recommended value.
- Credit Report Provider ID – Choose “Metro2” from the drop down list.
- Program Identifier(s) – Each of the credit reporting agencies you subscribe to will provide you with a Subscriber Code (Provider ID). Enter the ID for each reporting agency.
- Innovis Program Identifier (obtained by Innovis)
- Equifax Program Identifier (obtained by Equifax)
- Experian Program Identifier (obtained by Experian)
- Trans Union Program Identifier (obtained by Trans Union)
- Active - Check this box if this vendor is active
Export Section
- Send SIF Balance - If you would like the SIF balance included in credit reporting, please check this box.
- Group On Service Date - When true (checked), accounts with the same client and service date will be sent as a single account using the aggregate balance.
- Delay Before Sending - You can elect to wait a certain number of days prior to sending the accounts for Credit Reporting. The number is in days, so example, inputting 30 would mean 30 days.
- Export User ID will show which user exported the accounts.
- Date Opened Field - Determines which date you want to base the Date Opened off of.
- Include Cosigner will also add the cosigners' information to the credit report
Import Section
Import User ID - sets who shows as the Importer.
Was this article helpful?