What does it do?

It identifies the Payment Instruments that are to be issued, populates an output file with these instruments' details and updates their status to 'issued' ('ISS'). Running this program and creating the output file is the equivalent of issuing payments. For example, if the batch process is run for DeliveryMethodType of 'EFT', the output file will be sent to the bank where the payments will be transferred to the Participant accounts.