I receive remittance advice 820 from a company through a bank.  But in ISA
segment 04 the security code is different
everytime there is a new transmission.  In order to translate this I have to
update my software's trading partnter profile.  Now
normally other trading partners that we deal with and that make use of this
field it does not change.  2 questions
Is there anyone out there who deals with a similar situation and what do you
do about it?
How does the bank get around this?

REgards,

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