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Financial instrument system providing multiple transaction information reporting and storing options and fraud and warranty protection

  • US 20040010466A1
  • Filed: 07/11/2002
  • Published: 01/15/2004
  • Est. Priority Date: 07/11/2002
  • Status: Abandoned Application
First Claim
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1. A system for providing multiple reporting and storing options for deposit and expense information designated by a financial instrument linked to a predetermined account maintained on behalf of a depositor payor by a financial institution provider comprising:

  • (a) a transaction initiating instrument capable of including financial information linked to the account, the instrument including

         1) one, or a plurality of indicators in an array, in which an indicia corresponding to one of a plurality of predetermined categories can be designated,

         2) a field for entry of an amount of a transaction,

         3) a field for entry of a date,

         4) a field for entering memo information related to the transaction,

         5) a field for identifying at least one payee associated with the transaction, and

         6) the depositor payor'"'"'s account identification information; and

    (b) a system for processing the instruments following the clearing and settlement of a funds transfer initiated by the instrument in a transaction, the system being provided by or on behalf of the financial institution provider and, as to each account, having a separate data file uniquely associated with the depositor payor of the account in which, for transactions associated with the instrument, information corresponding to a transaction which is designated by the indicia of the instrument corresponding to a predetermined category is maintained, the system comprising a mechanism for

         1) determining a designated indicator within the array which has the indicia applied,

         2) linking information associated with the designated indicia to one or more than one of the fields on the instrument and the account information,

         3) sorting information derived from the fields based on the predetermined category linked to the designated indicia,

         4) collating the information of the sorted fields into one or more than one data record associated with a predetermined category,

         5) generating a report uniquely associated with one or more than one account associated with the depositor payor comprising a compilation of the collated information, and

         6) making the report generated available to one or more than one recipient selected from the group consisting of the depositor, the payor, and one or more than one pre-designated recipient on behalf of the depositor payor.

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