The credit union will be responsible for identifying which check
items need to be returned on a daily basis. We will work with
you to automate this process and to use the data transmission
method that best suits your current hardware, software and
telecommunications systems. We request that your returns list
be sent to us by 1:00 p.m. daily for processing. We will pull
your returns, mark them with the appropriate return code stamp
and return them back to the bank of first deposit.