#ACH
ach is a Ruby helper for builder ACH files. In particular, it helps with field order and alignment, and adds padding lines to end of file.
This library has only been used in one production application and for very limited purposes. Please test thoroughly before using in a production environment.
See ACH::Builder for a similar Perl library
##Example
You should consult a copy of the ACH Rules for details on individual fields. You can probably obtain a copy from your bank.
# Create ACH file
ach = ACH::ACHFile.new
trace_number = 0
# File Header
fh = ach.header
fh.immediate_destination = "000000000"
fh.immediate_destination_name = "BANK NAME"
fh.immediate_origin = "000000000"
fh.immediate_origin_name = "BANK NAME"
# Batch
batch = ACH::Batch.new
bh = batch.header
bh.company_name = "Company Name"
bh.company_identification = "123456789"
bh.standard_entry_class_code = 'PPD'
bh.company_entry_description = "DESCRIPTION"
bh.company_descriptive_date = Date.today
bh.effective_entry_date = (Date.today + 1)
bh.originating_dfi_identification = "00000000"
ach.batches << batch
# Detail Entry
ed = ACH::EntryDetail.new
ed.transaction_code = ACH::CHECKING_CREDIT
ed.routing_number = "000000000"
ed.account_number = "00000000000"
ed.amount = 100 # In cents
ed.individual_id_number = "Employee Name"
ed.individual_name = "Employee Name"
ed.originating_dfi_identification = '00000000'
batch.entries << ed
# ... Additional detail entries, possibly including *offsetting entry*, if needed.
# Insert trace numbers
batch.entries.each{ |entry| entry.trace_number = (trace_number += 1) }
output = ach.to_s
File.open("ach.txt", 'w') do |f|
f.write output
end
p ach.report
# Parse an ACH file
ach = ACH::ACHFile.new(File.read('examples/ach/fixtures/return_noc.txt'))
ach.batches.first.entries.first.addenda.first.payment_data
=> "C05992222220280489 1211403932 1211"
##Copyright
Copyright (c) 2008-2009 Jared E Morgan, released under the MIT license