Business owners keep payout data accurate after orders
Business owners keep payout data accurate after orders
Business owners lose upsell payout and cost data, causing reconciliation gaps. Postbacks send payout and product-cost details to payout systems so finance and affiliates reconcile and pay correctly.
Overview
Missed upsell payouts create reconciliation headaches and compliance risk for finance leaders. This workflow delivers payout and product-cost postbacks to your payout systems on order so finance and affiliate ops reconcile and process commissions with fewer manual exceptions.
Notable Features
- Send upsell payout postbacks on order
- Include product-cost line items automatically
- Validate affiliate and payout identifiers