Nelnet Payment Services Direct Documentation
Release Notes
202506.11
Updated BIN Response; Character Validation and Acceptor Field Updates
202505.23
Updated BIN Response
202505.21
ACH Duplicate Check Handling
202503.27
PCI Scanner
202503.25
SHA-512 Support
202503.19
Updated CC Detail v2 Report; Keyed Hash
202503.05
Updated CSP Header
202502.05
Account Updater Enhancements
202412.11
New Surcharge Amount Functionality
202411.13
Support for International Issuer Information
202411.06
Update to Duplicate Check Response Handling
202410.30
Internal Security Updates
202408.28
Account Updater Enhancements
202408.07
ACH Account Validation Process Enhancements
202404.23
Signup Pricing Method Updates
202404.17
Internal Security Updates
202404.03
Enhancements to Token Deletion Logic
202403.26
Enhancements to Token Deletion Logic
202402.07
Payment Batch Enhancements
202402.01
Payment Batch Enhancements
202401.30
MFA Implementation; Payfac Certification Testing
202401.24
MFA Functionality Updates (Direct); MFA Implementation (Gateway)
202401.17
ACH Response Error Code Changes; NPS Risk Service Security Updates
202401.10
Internal Security Maintenance; Gateway ACH Bridge Updates
202312.20
Session Timeout Parameters Expanded; Payment Batch Enhancements; Internal Remittance Controls
202312.11
Internal BIN Service Changes; New ACH API Response Code; Grant List Service API; Westpac Integration
202311.14
ACH Batch Upload Process
202311.08
Updates to MFA Functionality
202310.23
Risk Service; MFA Functionality Enhancements
202310.18
TotalMoney Field Validation; Elavon viaConex Updates; Global Formatting
202310.04
MFA URL Fix; Westpac (Future Integration)
202309.27
Mandate: Mastercard Authorization Indicator
202309.13
MFA Functionality Added to Portals
202308.30
New Payment Facilitator MCC Field
202308.23
Internal Maintenance; NPS Risk Service API Updates
202308.02
Gateway ACH Bridge Enhancements; ACH Reporting Enhancements
202307.26
NPS Risk Service API Updates
202307.12
Gateway ACH Bridge Enhancements and MFA Functionality
202306.29
MFA Setup Guide
202306.28
Risk Enhancements
202306.15
Reporting Database
202305.24
TSYS TransIT Recertification; Global Payments Integration and Certification
202304.26
NPS Branding Updates in the Admin and Merchant Portals
202304.12
Remove Amount Restriction on PPD Payments
202303.22
Return the OrderNumber Field in Rapid Connect Transactions
202302.24
Add Error Log on ACH Validation Service
202302.16
Hosted Payment Page Integration with NPS Risk Service; Rapid Connect Timeout Reversal Handling
202302.15
Risk Service API Updates
202302.01
Fix to Worldpay Recurring Payments and Internal Security Updates
202212.14
Updates to Remittance Name & Elavon viaConex CVV Indicator
202211.09
Support for GradGuard, V2
202210.26
ACH Account Validation Enabled and Changes to Default “From” Address
202208.16
Updates to Authorize.Net Transaction Handling
202207.22
ACH Account Validation Report Update
202207.11
Client Billing Job Migrated and Updated Character Handling Limits
202206.29
Worldpay Weekend Settlement File Updates
202206.22
Resolved Inconsistent Display of Failed Transactions on Credit Card Transactions Pop-Up Screen
202206.08
PEN Test Remediation
202205.25
Enhancements for Risk Service, PEN Test Remediation, and Portal Refunds
202204.28
NACHA Mandate: ACH Account Number Masking
202204.20
Elavon viaConex Sequence Error Fix
202204.08
NAB Refunds
202202.16
Settlement Date Support Added for Worldpay Infinicept
202110.25
Authorize.net Recertification
202109.08
Tax ID Format Change
202105.26
Enhancements for Elavon Converge Recertification, ACH Return File, and Peoples Trust Response Mapping
202105.05
Response Added for Account Numbers Containing a Hyphen in ACH Account Validation
202104.28
Return Remittance Enhancements
202103.03
Nacha Mandate: WEB Debit Account Validation Phase II, Integration with Tokenization Service
202101.20
Enhancements for Elavon viaConex, Peoples Trust PSiGate, and Tokenization Responses
202101.13
Peoples Trust PSiGate Integration and Certification
202101.07
Elavon viaConex Integration and Certification
202101.06
Expanded JCB and UnionPay BIN Ranges
202012.00
Expanded JCB and UnionPay BIN Ranges
202008.01
ACH Cancellation API
202007.02
Add BIN Fields to Gateway Tokenization Process
202007.01
Nacha Mandate: Return Reason Code R11
202006.08
GradGuard Integration
202004.01
Payment Batch 150 Byte Reliability
202003.01
TSYS Recertification and Source Entity Parameters