> ## Documentation Index
> Fetch the complete documentation index at: https://docs.treasuryprime.com/llms.txt
> Use this file to discover all available pages before exploring further.

# September 4th

> **Feature: Introducing The Console And New Features**

We have a new and Improved Console!! Replacing our Production Bank Console and Developer Dashboard and providing a host of new features. Only a few of our orgs have access to "The Console" as we eagerly get ready to roll this out. If you are interested in a Demo, please reach out to your Relationship Manager. Check out the new features such as:

#### Return Incoming ACH

Description

* Easily return incoming ACH transfers directly from "The Console" when in Done status.

How to Enable

* For Banks, this is automatically enabled in The Console
* For this to be enabled at a Fintech/Program, your corresponding Bank will need to provide approval.
* Please reach out to your Relationship Manager or Treasury Prime Support

#### Create Book Transfers

Description

* Via the Book Transfer tab, you can create a book transfer to transfer funds

How to Enable

* For Banks, this is automatically enabled in The Console
* For this to be enabled at a Fintech/Program, your corresponding Bank will need to provide approval.
* Please reach out to your Relationship Manager or Treasury Prime Support

#### Incoming ACH view

Description

* In "The Console", you have a dedicated view for Incoming ACHs only in real-time.

How to Enable

* This is automatically enabled for all orgs using "The Console"

#### Originated ACHs marked as return

Description

* As a Bank, via "The Console", a user will be able to mark originated ACH items as returned

How to Enable

* This is automatically enabled for all Banks using "The Console"

#### Incoming Wire View

Description

* In "The Console", you have a dedicated view for Incoming ACHs only

How to Enable

* This is automatically enabled for all orgs using "The Console"

#### Ability to Void Wire

Description

* As a Bank, via "The Console", they will be able to return an Incoming wire via a new button “Void Wire Transaction”
* The bank can view all Outgoing/Originated wires in "The Console".
* From there, a bank can select the wire in question and use the “Void Wire Transaction” button.
* When the action is triggered (Selecting Void Wire Transaction), a pop-up will appear with the bank representative will be able to provide the reason (if applicable).
* When the action is triggered/completed, funds are moved from the outgoing wire settlement account to the FBO.
* A corresponding transaction is created for the return of funds in the ledger.

<Info>For some banks that support sending Treasury Prime notifications about wires being rejected, the process of voiding an outgoing wire is already automated.</Info>

How to Enable

* This is automatically enabled for all Banks using "The Console"

#### Ability to Void Wire w/ Fees

Description

* As a Bank, via our new Bank Console, they will be able to return an Incoming wire via a new button “Void Wire Transaction” and apply any associated fees
* The bank can view all Outgoing/Originated wires in the new Bank Console, From there, a bank can select the wire in question and use the “Void Wire Transaction” button. When the action is triggered (Selecting Void Wire Transaction), a pop-up will appear with the bank representative will be able to provide the reason and a fee (if applicable). When the action is triggered/completed, funds are moved from the outgoing wire settlement account to the FBO. A corresponding transaction is created for the return of funds in the ledger and an additional ledger transaction is created to represent the deduction of the fees from the ledger account.

<Info>For some banks that support sending Treasury Prime notifications about wires being rejected, the process of voiding an outgoing wire is already automated.</Info>

How to Enable

* This is automatically enabled for all Banks using "The Console"

#### Check Deposits/RDC

Description

* A new check deposit tab in The Console.
* You will be able to see all checks deposited via Remote Deposit

How to Enable

* This is automatically enabled for all orgs with Check Deposits enabled and using "The Console"

#### FBO Table View

Description

* In one view, a new view shows the FBO and the associated on-core accounts linked to it.

How to Enable

* For Banks, this is automatically enabled in The Console
