This User’s Guide will provide information and procedures for:
- Logging into and exiting the Kodak t6000 Client Software
- Capturing images of checks received using the Kodak t6000 Client Software and Kodak i6030 Check Scanner
- Correcting item data after capture, if necessary
- Balancing the deposit or the payment
- Electronically transmitting deposit or payment balances to the bankor third-party clearing house
- Ending the processing day
- Creating processing reports
- Researching captured items
User Guide - English ( 1.1 MB )