WELCOME TO SANTANDER TREASURY LINK

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WELCOME TO SANTANDER TREASURY LINK You are on your way to experiencing a customizable and central hub from which to effectively manage your company s finances. To ensure you have a positive first experience with Santander Treasury Link, we have developed this Quick Start Guide to provide you with some helpful tips. This guide will walk you through your first log in, as well as show you how to perform many common Treasury Management tasks and functions. Let s get started! 1. INITIAL LOG IN FOR USERS When you first log on to Santander Treasury Link Be sure to have your: Company ID: provided by Santander Bank User ID: assigned by Santander Bank or established by your Client Administrator at your company Password: sent to your email address Note: Your Company ID, User ID and Password are case sensitive. Enter your Company ID, User ID and Password. You will be prompted to create a new password the first time you log on. The password must: Be 8 to 20 characters long Contain at least 1 number and 3 letters Not include spaces or special characters Not be the same as your User ID SANTANDERBANK.COM 1

2. TREASURY DASHBOARD Once you have logged on to Santander Treasury Link, the default Treasury Dashboard landing page is displayed. The Treasury Dashboard is the central platform page that contains a view of all products, services and functions to which you are entitled. The Treasury Dashboard is highly customizable and provides you with a snapshot of your company s financial information and quick access to different capabilities in Santander Treasury Link. The Treasury Dashboard is arranged through a collection of widgets for the user. Widgets are miniature applications that can be added or deleted and positioned on the Treasury Dashboard. Available widgets include: Balances Chart Events FX Rates Reports Shortcuts Quick Transfer Special Reports Statements To add widgets, click the Change Layout button on the Treasury Dashboard. Each widget has a menu tool that enables you to customize the widget display. You can Edit, Collapse, Expand or Remove a widget altogether. SANTANDERBANK.COM 2

3. ALERTS AND NOTIFICATION CENTER Once you have successfully logged on to Santander Treasury Link, you will notice an alert and notification center that is always positioned at the top of your screen above the Santander Treasury Link banner. The notification center provides you with Alerts, Approvals and unread secure Messages that might necessitate review or action on your part. SANTANDERBANK.COM 3

4. GENERAL NAVIGATION Discovering the capabilities of Santander Treasury Link has been simplified by the main navigation bar and tabs at the top of your screen. The Accounts module allows you to view prior day and current day balance and transaction information, export and download account data in a variety of formats, retrieve account statements, perform transaction searches, view and customize standard account report types, and create a cash position worksheet. The Payments module is the central utility to create and manage ACH and Wire transactions. The Payments module allows you to initiate a variety of one-time, recurring and future-dated ACH and Wire transactions, manage payment approvals (token required) and payment status, create import profiles and templates to assist with initiating repetitive transactions, create profiles to export payment data, and create and manage a recipients database for payment transactions. Payment security token The Transfers module allows you to initiate real-time, single and bulk (one to many and many to one) transfers between Santander accounts; submit one-time, recurring and future-dated transfers; create profiles and import data for transfers; and create templates for bulk and repetitive transfers. The Fraud Control module allows you to review suspected fraud items, submit pay or return decisions on suspect items, add single or multiple check issues, and modify existing check issues or voids. Remember to always sign off your session before leaving your computer unattended! SANTANDERBANK.COM 4

4. GENERAL NAVIGATION (CONT.) The Check Services module allows you to create and cancel single and multiple stop payments, access a link for business bill pay, and search for images of paid checks, deposit tickets, deposited items and returned deposited items. The File Services module allows you to create and review positive pay, check issue files, create profiles for file uploads done on a frequent basis, and create reports across a selected range of dates and criteria for previously uploaded positive pay check issue files. The Tools module allows you to view and create new alerts, manage existing alerts and delivery settings, view messages and reminders, view and manage standard and preferred banks you use for your payment and collection activity, and reset your password and change your default screen after log in. The Administration module is accessible to your company administrator for Santander Treasury Link and allows the administrator to create and manage users (their access schedules, entitlements and permissioning across all account and payment functions), adjust account preferences, reset user IDs and passwords, and define criteria to view comprehensive user activity and audit logs across a desired range of dates. Remember to always sign off your session before leaving your computer unattended! SANTANDERBANK.COM 5

5. HOW TO CHANGE YOUR PASSWORD From the Tools module, select Set, then Password. You will be prompted to change, confirm and submit your password. Remember your password must: Be 8 to 20 characters Contain at least 1 number and 3 letters Not include spaces or special characters Not be the same as your User ID SANTANDERBANK.COM 6

6. ACCOUNTS MODULE INFORMATION REPORTING The Santander Treasury Link Accounts module organizes information on your accounts into three menu sections: Manage Accounts: Obtain account balance and transaction information for up to 90 days Account & Research Tools: Use to create export profiles of account information, retrieve accounts statements and perform transaction searches Reports: Access standard prior day and current day summary and detail reports with options to customize, view and save SANTANDERBANK.COM 7

6. ACCOUNTS MODULE INFORMATION REPORTING (CONT.) MANAGE ACCOUNTS Account Activity: Pending and processed transactions, as well as image access Prior Day: Customizable report with posted balance and transaction details Current Day: Customizable report with balance and transaction detail for the current business day and the past 7 days Cash Position: Generate cash position worksheets to aid in forecasting ACCOUNT & RESEARCH TOOLS Export Profiles: Create standard profiles to easily export report data in BAI2, QuickBooks, SWIFT,.CSV, and semicolon and tab separated output formats Export History: Export file history and log information Statements: View business account statements up to 7 years Transaction Search: Search for a specific transaction or group of transactions within an account or accounts by transaction type, date, date range, check number range, amount/range and reference number REPORTS Account Reports: Inventory of standard prior day and current day summary and detail reports, each of which can be customized, viewed and saved according to date, amount/range and reference number Special Reports: Obtain detailed remittance information with the EDI Special Report SANTANDERBANK.COM 8

7. PAYMENTS MODULE INITIATE ACH AND WIRE TRANSACTIONS The Payments module allows you to view and manage ACH and Wire transactions through the following menu tabs: Manage: Provides a comprehensive view of existing payments and payment status, allows the creation of new payments, provides a view of existing payment templates and allows the creation of new templates Payment Tools: Create, edit and delete import and export payment profiles, obtain payment export history and view holiday calendar for countries outside the U.S. Create Master Recipients: Create database of ACH and Wire transaction recipients for easy access Payment Reports: View and customize ACH and Wire summary and detail reports Create ACH Payments: Create one-time, recurring and future-dated ACH transactions Create Wire Payments: Create one-time, recurring, and future-dated domestic and FX wires Create ACH Templates: Create ACH debit and credit templates for recurring transactions Create Wire Templates: Create wire templates for recurring payments SANTANDERBANK.COM 9

7. PAYMENTS MODULE INITIATE ACH AND WIRE TRANSACTIONS (CONT.) MANAGE Payment Center: Review status of existing payments, create, approve, reject, delete and export Template Center: Review, create, edit and copy ACH and Wire templates Template Groups: Create, edit and delete template groups; create payments Master Recipient List: Review, create, search and export ACH and Wire recipients PAYMENT TOOLS Import Profiles: Create, import, edit and delete profiles for ACH and Wire transactions Import History: Review status and log information for payment file import history Export Profiles: Create, edit and delete ACH and Wire profiles to export transaction details Export History: Export file status and log information Holiday Calendar: View payment-related holiday calendars for specific countries CREATE MASTER RECIPIENTS Recipients: Create and add U.S. ACH and Wire recipients for recurring use REPORTS Payment Reports: Generate standard and custom reports on ACH and Wire payment activity SANTANDERBANK.COM 10

7. PAYMENTS MODULE INITIATE ACH AND WIRE TRANSACTIONS (CONT.) CREATE ACH PAYMENTS Create one-time, recurring and future-dated (max # days = 59) ACH debit and credit transactions Supported ACH Payment Types: Create CCD (Corporate Credit or Debit) Payment Create Child Support Payment Create CTX (Corporate Trade Exchange) Payment Create IAT (Domestic) Payment Create PPD (Prearranged Payment and Deposit) Payment Create RCK (Re-presented Check Entry) Payment Create Tax Payment (state and U.S. federal taxes) Create TEL (Telephone-Initiated Entry) Payment Create WEB (Internet-Initiated Entry) Payment CREATE ACH TEMPLATES Create, edit and copy ACH templates for all transaction types or specific transaction types Dual control using a security token is required to approve a payment that has been created from a template. Dual control authorization on creation (and editing) of a template is an optional feature and can be implemented at the customer s request (with or without a security token requirement). When dual control for templates is turned on, the approver has the following options: Approve: Authorizes the template for use in creating new payments Reject: Stops further processing of the request in its current form; the request can be edited and submitted again for approval Delete: Permanently removes the template from the system Templates can be established with transaction limits at the customer s discretion (the maximum amount for a payment created from the template) SANTANDERBANK.COM 11

7. PAYMENTS MODULE INITIATE ACH AND WIRE TRANSACTIONS (CONT.) CREATE WIRE PAYMENTS Create one-time, recurring and future-dated (max # days = 30) USD Wire transactions and International (Foreign Currency) Wires Supported Wire Payment Types Book Wire Drawdown U.S. Wire U.S. Federal Tax Payment International Wire (multiple currencies) CREATE WIRE TEMPLATES Create, edit and copy Wire templates for all transaction types or specific transaction types Dual control using a security token is required to approve a payment that has been created from a template. Dual control authorization on creation (and editing) of a template is an optional feature and can be implemented at the customer s request (with or without a security token requirement). When dual control for templates is turned on, the approver has the following options: Approve: Authorizes the template for use in creating new payments Reject: Stops further processing of the request in its current form; the request can be edited and submitted again for approval Delete: Permanently removes the template from the system Templates are established with transaction limits (the maximum amount for a payment created from the template) Wire Template Groups: Group and execute multiple wires simultaneously SANTANDERBANK.COM 12

8. TRANSFERS MODULE MOVE FUNDS BETWEEN SANTANDER ACCOUNTS The Transfers module allows you to initiate funds transfers between your Santander accounts. The Transfer Center provides a central point for your activities including: Create transfers (one-time, recurring, single and multiple accounts) Edit transfers Approve/Reject transfers SANTANDERBANK.COM 13

8. TRANSFERS MODULE MOVE FUNDS BETWEEN SANTANDER ACCOUNTS (CONT.) TRANSFER TEMPLATE CENTER Transfer templates allow you to create repetitive transfers with minimal data entry; entitled users can approve, reject, delete and edit templates CREATE TRANSFERS Single: Create a transfer between 2 accounts, one-time, recurring, or future-dated (30 days max) One to Many: Create a transfer from 1 account to multiple (credit) accounts; one-time, recurring or future-dated (30 days max) Many to One: Create a transfer from multiple accounts to 1 (credit) account; one-time, recurring or future-dated (30 days max) Note: A user can schedule the transfer time (exact hour and minute Eastern time). TRANSFER TOOLS Import Profiles: Create, edit or delete transfer import profiles Import History: View transfer import and log information CREATE TEMPLATES Create templates for bulk transfers TRANSFER REPORTS Use this page to generate reports on your transfer activity SANTANDERBANK.COM 14

9. FRAUD CONTROL MODULE The Fraud Control Module is a central check positive pay feature that enables you to make pay or return decisions on suspect checks on your positive pay accounts. The two types of positive pay services are: Standard Positive Pay: With standard positive pay, the system declares an item as suspect when a comparison between the presented checks and your issued checks indicates the item may be suspect Reverse Positive Pay: With reverse positive pay, you take a more active role, self-monitoring your accounts and notifying the financial institution when a check should be returned. To enable the return and decision process, the system provides a list of all paid items, including checks SANTANDERBANK.COM 15

9. FRAUD CONTROL MODULE (CONT.) MANAGE Positive Pay: Review accounts with suspect items and submit pay or return decisions Issue Maintenance: Create single or multiple check issues, find existing issue or void instructions and make modifications to the instructions CREATE Single Issue: Create check issue (issue add) or check void (void add) instruction for a single check or a range of checks. User can also supply optional Payee and Reference information Multiple Issues: Create multiple check issues (issue add) or multiple check voids (void add) instruction for a single check or a range of checks. User can also supply optional Payee and Reference information REPORTS Fraud Control Reports: View standard reports or customize standard reports according to your specific criteria SANTANDERBANK.COM 16

10. CHECK SERVICES MANAGE CHECK PAYMENTS & CHECK IMAGES Check Services enables you to create or cancel single or multiple stop payments; access business bill payment; research the status of issued checks; search for and view images of paid checks, deposit tickets, deposited items and returned deposited items; and view, print and customize reports related to check transactions SANTANDERBANK.COM 17

10. CHECK SERVICES MANAGE CHECK PAYMENTS & CHECK IMAGES (CONT.) MANAGE Stop Payments: Manage existing requests for check stop payments CREATE Create Single Stop: Request stop payment on a single check or a range of check numbers Create Multiple Stop: Request stop payment on up to ten non-sequential checks or ranges of checks CANCEL Cancel Single Stop: Cancel a previous stop payment request for a single check or range of check numbers Cancel Multiple Stop: Request cancellation of up to ten non-sequential checks or ranges of checks RESEARCH TOOLS Check Inquiry: Search for checks based on their check number, amount or status. You must specify a value for at least one of the search options Image Search: Search for images of paid checks, deposit tickets, deposited items and returned deposited items Image Activity: Retrieve images for a specific day or range of days REPORTS Check Services Reports: View, print and customize reports related to Check Services SANTANDERBANK.COM 18

11. FILE SERVICES MANAGE POSITIVE PAY CHECK ISSUE FILES The File Services module enables you to upload positive pay check issue files from your local drive and transmit them to the Bank SANTANDERBANK.COM 19

11. FILE SERVICES MANAGE POSITIVE PAY CHECK ISSUE FILES (CONT.) STANDARD FILE UPLOADS Manage File Uploads: Use this feature to review positive pay check issue files Create File Upload: Use this feature to submit positive pay check issue files Manage & Create Profiles: Use this feature to create fixed width or delimited check issue file profiles and use on a recurring basis File Services Reports: Use this feature to generate Payment Summary, Payment Detail or File Upload Summary reports; each report can be customized based on the search criteria SANTANDERBANK.COM 20

12. TOOLS FEATURES TO MANAGE ALERTS, MESSAGES, AND BANK LISTS The Tools module allows you to manage the following features: Alerts: Create and edit alerts, as well as when and how to deliver alerts Messages: Send and receive secure messages between you and the Santander Client Support Team Standard and Preferred Banks: Access the Santander-provided bank directory and create a custom list of banks that you routinely use Change Password: Enables users to change their own passwords Startup Screen: Use this feature to select an alternate landing page after log on SANTANDERBANK.COM 21

12. TOOLS FEATURES TO MANAGE ALERTS, MESSAGES, AND BANK LISTS (CONT.) MANAGE Alert Settings: Create, edit and delete alert subscriptions on the Manage Alert Settings page; an alert is a message that a specified condition has been reached Messages: View alerts and messages. Create and receive secure messages to/from Santander s Client Support team (maximum of 2000 characters) Standard/Preferred Banks: View Santander-provided bank directory and add a bank to the custom list of banks you routinely use SET Password: Enables users to change their own passwords Startup Screen: Use this feature to define the default page to display after logging on SANTANDERBANK.COM 22

13. ADMINISTRATION COMPREHENSIVE TOOLS TO MANAGE EMPLOYEE ACCESS AND ENTITLEMENTS The Administration module provides administration functionality. This feature appears in Santander Treasury Link only when the user has been assigned client administrator status User entitlements determine the level of access a user has when using Santander Treasury Link. Client administrators have the ability to entitle users within their company with access to specific accounts, functionality and data services that have been provisioned by Santander The Administration module also allows the company s assigned client administrator to establish account preferences, reset users IDs and passwords, and view a variety of audit activity reports of user activity SANTANDERBANK.COM 23

13. ADMINISTRATION COMPREHENSIVE TOOLS TO MANAGE EMPLOYEE ACCESS AND ENTITLEMENTS (CONT.) MANAGE Users: The Manage Users feature is used by the client administrator to create, edit, entitle and delete company users CREATE Create New User: Select New User to add a new user to your company. Users can be entitled to any or all of the accounts, and services that have been provisioned to your company by Santander. A client administrator can designate users as approvers and also specify specific payment limits for each user. A client administrator can designate additional users to be client administrators SANTANDERBANK.COM 24

13. ADMINISTRATION COMPREHENSIVE TOOLS TO MANAGE EMPLOYEE ACCESS AND ENTITLEMENTS (CONT.) RESET/EDIT Account Preferences: Client administrators can specify account nicknames and establish the expiration date for Stop Payments for each account Login: The Reset login page is used to reset the account of a user who has been locked out of Santander Treasury Link Password: A client administrator can reset passwords. Users receive an email with a temporary password and are forced to change at first log in REPORTS User Activity Report: Provides a list of all activity performed by selected user(s) User Audit Report: Provides a list of all entitlement changes that have been made to selected user(s) Make your money work harder and smarter for you Contact your Santander relationship manager or treasury management sales officer, or call us at 877-768-1145. Santander Bank, N.A. is a Member FDIC and a wholly owned subsidiary of Banco Santander, S.A. 2017 Santander Bank, N.A. All rights reserved. Santander, Santander Bank and the Flame Logo are trademarks of Banco Santander, S.A. or subsidiaries in the United States or other countries. All other trademarks are the property of their respective owners. 2001 06/17 SANTANDERBANK.COM 25