Whether part of services rendered or due to a merchant’s initiation, the execution of withdrawals is vital to any business. As such, we offer our clients a distinct arena to manage such pay outs.
Be it standalone credit transactions, refunds, CFTs, OCTs, or others, our pay outs tab allows one to initiate manual pay outs via all integrated payment methods connected to the business.
Through this section, one can view outgoing transaction amounts, currencies, payment processor transaction ID, equivalent amount in USD, and more. Like the pay ins tab, each transaction is cataloged with a unique dashboard identifying number and categorized with color-coded success statuses. Clients can also filter this section by column headers and personalize a unique layout according to their own preferences.
See exactly how our Payouts section allows for the comprehensive yet seamless execution of outgoing funds.