The
Business Center
enables merchants processing credit card or alternate payments to
generate reports containing financial / reconciliation data. For alternate payment
merchants, reporting supports both direct merchants and those using financial service
providers. For more information about payment processing for alternate payments, see the
Alternate Payment Services support
documentation.NOTE
Based on the acquirer and processor you use, one or more of the reports in this section may be available. Contact your representative for more information about which reports are applicable to your organization.
For instructions on creating report subscriptions and generating downloadable reports, see
Creating and Accessing
Downloadable Reports.
Report Name | Description |
---|---|
Aging Details | Displays transactions which have
been settled but not funded, by age. |
Chargeback and Retrieval
Details | Reflects all chargeback
activity. Each chargeback is displayed, and the report indicates if there
was any financial impact. |
Deposit Details | Displays what deposits and debits
were made to the financial institution account. Each ACH item is displayed
with an ACH description (Settlement, Chargeback, Fees, etc.), and whether
the money was deposited or debited from the bank account. |
Fee Details | Displays the interchange, Discount,
and Assessment fees for each transaction. Alternate payment merchants see
Service Fees. |
Funding Details | Lists all settled transactions from
the daily batch. |
Processor Settlement Details | All settlement responses sent by
your acquirer, by transaction and status. |
Net Funding |