Account batches for captured payments

From the Financial Status page you are able to drill down to view daily account batch details for captured payments.

Access

1.       Select the Financial Status option from the left-hand menu to open the Financial Status page. (Note if you have more than one account, and have not yet selected a merchant code, you will be asked to do so on accessing this page.)

2.       Locate the Pending Authorisation, Authorisation and Capture Summary section at the top of the page.

3.       Select the Transfer Currency or Amount hypertext link in the Captured Transaction section. The Account Batch page is displayed

Account batches

This page displays details of daily lists or batches relating to captured payments. The batches are listed in descending order and the date of each batch is displayed in the Totals column. At any given point in time, some of the captured payments may not yet have moved on to subsequent payment statuses, for example, SETTLED, SENT_FOR_REFUND or REFUNDED. These captured payments are referred to as 'open payments'. As payments are settled or refunded, the open balance for a given batch reduces.

Totals are displayed as follows:

For full details of the fields, refer to Page description - Account Batch Status.

The value displayed for authorised and captured payments is an indicative amount as deductions for transaction-level charges (Transaction Service Charges and Guarantee Service Charges, if applicable), and the exchange rate used for currency conversion are applied at settlement. Refer to Settlement in the Introduction.

Further details