|  1 | Graduated | 
|  2 | Income Sensitive | 
|  3 | Income Contingent | 
|  4 | Level (Sum Constant) | 
|  8 | Credit Account | 
|  A | Private Netting Agreement, Pay by Wire Transfer | 
|  AA | Bank Draft | 
|  AB | Cash | 
|  AC | Credit Card | 
|  AD | Direct Deposit | 
|  AE | Money Order | 
|  AF | Special Account | 
|  AG | Travelers Check | 
|  B | Compensation by Balance | 
|  C | Pay By Check | 
|  D | Debited | 
|  E | Electronic Payment System | 
|  F | Freight Payment Bank | 
|  G | CCD (NACHA Cash Concentration/Disbursement - Funds Transacted without Remittance Information) | 
|  H | CCD+(NACHA Cash Concentration/Disbursement - Funds Transacted Plus an 80 Record Remittance Detail) | 
|  I | Invoiced Separately | 
|  J | CTX (NACHA Corporate Trade Exchange - Transaction Plus Remittance Detail in ANSI Standard Flexible Format) | 
|  K | Private Netting, Pay by Check | 
|  L | Letter of Credit | 
|  M | Deduction from Film Rental | 
|  N | Billing Account The account or summary account that represents a customer's net compensation position with the bank for the relationship within this transaction set  | 
|  O | CTP (NACHA Corporate Trade Payment - Transaction Plus Remittance Detail in Fixed Format) | 
|  P | Previously Charged Service charged outside of analysis; provided for completeness of bank information  | 
|  Q | Petroleum Clearinghouse Bank | 
|  R | Related Detail Account Individual account that provides supporting data for a billing or summary amount  | 
|  S | Summary Account Summary of account level detail for information, pricing or balance netting  | 
|  T | Wire Transfer | 
|  U | Direct Pay to Others | 
|  V | Lock Box | 
|  W | Waived | 
|  X | In Kind Payment | 
|  Y | Credit |