- PayerInbound paymentCredits arrive over NEFT, RTGS, IMPS or UPI.
- IDS / AccountsVirtual accountsSingle or bulk virtual accounts mapped to corporates and sub-entities.
- IDS / CollectionsValidation & matchingRemitter validation rules and auto-reconciliation of collections.
- IDS / Payouts & chargesPayouts and chargesPayouts, including one-time future-dated payouts; client charges and merchant fee / MDR computed.
- ClientClient systemsWebhooks and alerts, plus collection, payout and charge reports.
CAPABILITIES
What the Product Covers
01
Virtual accounts
Single and bulk virtual account creation; mapping to corporate and sub-entities; lifecycle management.
02
Collections
Inbound credit validation across NEFT, RTGS, IMPS and UPI; remitter validation rules; auto-reconciliation of collections.
03
Payouts
Payout initiation including one-time future-dated payouts.
04
Charges
Client charge computation and merchant fee / MDR computation (compute and report).
05
Notifications & reports
Webhooks and alerts; collection, payout and charge reports.
MAKE COLLECTIONS IDENTIFY THEMSELVES
Create the account structure and reporting layer that turns inbound credits into clean ledger events.
