Payment runs & chargebacks
- How to resolve BankConnect payout runs stuck in "Waiting for confirmation"
- Filtering of Bank statements and further processing
- Payment Reconciliation for Swiss Direct Debit Procedures (CH-DD & LSV+)
- What is the difference in claim type configuration between payment runs and payment run groups?
- Compensation options
- How to increase transparency in the allocation of bank statements in the system
- Creating and Customising Individual Instalment Plans
- Transfer payment runs to MemberCash
- Sepa-chargeback reasons / Sepa-mapping codes
- How to manage compensations
- How to create compensations
- Configuration of payment run groups
- Create and manage installment plans
- Invalid SEPA mandates during payment run
- Automatic import of bank transactions
- How to schedule payment runs
- Configuration of the collection of future receivables in payment runs
- Configuration of payment runs
- Handling CAMT files
- How to perform payout runs
- Recent changes to SEPA XML file format
- How to book claims due "pay later" correctly