- Created by Paul Clifton, last modified on Feb 07, 2023
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The Merchant Profile page contains information about a specific merchant boarded through your Referrer account, including the merchant account’s balance details, payment activity, and editable account details.
Navigate to the Merchant Profile by following the steps below:
Step 1: Click Merchants in the Management category in the left hand navigation panel.
Step 2: Click on the merchant’s name in the table located in the Merchants page to open the Merchant Profile page.
Merchant Profile Features
Merchant Information Banner
The Merchant Information Banner contains information about the merchant, including the merchant name, their category code, address, and boarding information. The merchant Account Balance, Next Withdrawal date, and Risk Score are also displayed in the Information Banner. The Information Banner supports the following actions:
Access the Merchant Dashboard View by clicking on the DOOR ICON below the merchant name.
View the Merchant Balance Details by clicking the in the Account Balance icon.
Merchant Transaction History Graph
The graph located below the Merchant Information Banner displays the merchant’s recent transaction history, including payments and refunds. Click the black triangle at the top left hand corner of the graph to toggle the view between the last 7 days and the last 30 days.
To view more details about the merchant's recent transactions, open the Merchant Payment History by clicking VIEW TRANSACTIONS at the top right hand corner of the graph.
Accounts Overview Box
The lower half of the Merchant Profile page contains the Accounts Overview Box, which includes tabs on the left hand side of the box. The tabs contains editable details about the merchants profile, banking information, and other account details. The following sections of this page cover descriptions of the contents of each of the tabs:
Business Tab
The Business tab contains information about business associated with the merchant account. It is divided into a Business Details section and an Account Details section. Click the BUSINESS tab or the ACCOUNT tab at the top of the box to view each section.
The Business section contains the following editable fields:
Business Details Section Field Name | Description |
---|---|
Legal Business Name | The legal business name of the merchant. |
IRS Filing Name | The name control established by the IRS and associated with the merchant EIN. |
Statement Descriptor | The business name that appears on customer credit card statements. |
Preview | The business name that appears as the distribution line in documentation of a transaction. |
EIN Type | Indicates if the EIN being used is a TIN or SSN or "other/unknown" number. |
EIN | The Employer Identification Number assigned by the IRS. |
TIN Validation Status | Tax Identification Number validation status: Approved, Pending, or Denied. |
Business Type | The type of business associated with the merchant. Choose from the following: Sole Proprietor, Corp, LLC, Partner, Nonprofit, or Gov. |
Public Company | Whether or not the company is publicly listed. Choose Yes or No. |
Custom Description | A description entered by the merchant or referrer. |
Secondary Payout Descriptor | In order to customize the descriptor that appears on a Merchant Disbursement Payrix clients can add a Secondary Statement Descriptor on the entity or a payout/withdrawal schedule. This will append the end of the Disbursement Descriptor (before the Merchant Name) to help merchants differentiate disbursements from Payrix. See the Implementation Guide page for more information: https://resource.payrix.com/resources/secondary-statement-descriptor |
Industry | The type of industry associated with the merchant’s business. |
Percent B2B Sales | The percentage of transactions that occur due to Business To Business sales. |
Percent EComm Transactions | The percentage of transactions that occur due to internet commerce. |
Percent Keyed Transactions | The percentage of transactions that occur when the credit card information was manually keyed at the terminal or point of sale. |
Website | The business’s website. |
The business’s email address. | |
Advanced Billing Indicator | Indicates whether the merchant accepts pre-purchase for products that are shipped at a later date or not currently available. Choose from the following: None, Yes, or No. |
NDX Shipping Days | The number of days to ship/deliver the product. |
Seasonal Status | Indicates if the merchant is a seasonal merchant or operates year-round. Choose Yes or No. |
Location Type | Description of the type of address that the business operates at. Choose from the following: Retail Storefront, Warehouse, Private Residence, Other, or Res-Prof/Construction. |
New | Indicates whether this merchant new to processing Credit Cards. Choose Yes or No. |
Annual Processing Volume | The total amount of sales processed in the previous year. |
Average Transaction Amount | The average credit card sale amount in the previous year. |
AMEX Volume | The sales volume involving transactions with AMEX cards for the merchant location. |
Total Volume | The expected total volume for all credit card and ACH payments that the merchant will process for the current year. |
Address | The street address associated with the merchant. |
Address 2 | The suite number or other information associated with the merchant address. |
City | The city associated with the merchant mailing address. |
State | The state associated with the merchant mailing address. |
Zip | The zip code associated with the merchant mailing address. |
Country | The country associated with the merchant mailing address. |
Time Zone | The time zone at the location associated with the merchant mailing address. |
Phone | The phone number associated with the merchant contact information. |
Customer Service Phone | The business customer service phone number. |
Fax | The fax number associated with the merchant contact information. |
The Account section contains the following editable fields:
Account Details Section Field Name | Description |
---|---|
Merchant ID | The Payrix-generated ID associated with the merchant. |
Entity ID | The Payrix-generated ID associated with the entity. |
Login ID | The Payrix-generated ID used by the merchant to log in to the portal. |
Login Name | The name associated with the merchant account. |
Division ID | The Payrix-generated ID associated with the merchant’s division. |
Division Name | The name of the portfolio associated with a Referrer. |
Fund ID | The Payrix-generated ID associated with fund that receives payouts from the merchant. |
Boarded | The date that the merchant was boarded to the portal. |
Created | The date that the merchant profile was created. |
Platform | The payment processing company that performs transactions associated with the merchant. |
Boarding Status | The boarding status of the merchant: Successfully Boarded, Pending, or Denied. |
Status | The status of the merchant: Active or Inactive. |
AMEX | The AMEX credit card number associated with the merchant account. |
Discover | The Discover credit card number associated with the merchant account. |
Merchant Category Code | The four-digit numerical code that describe a merchant's primary business activities. |
Merchant Type | The primary means by which the merchant accepts payments. Choose from the following:
|
Express Batch Close Method | The method through which batch actions are closed. Choose from the following: Time Initiated or Merchant Initiated. |
T&C Version | The Payrix Terms and Conditions version. |
T&C Date Accepted | The date on which the merchant accepted the Payrix Terms and Conditions. |
T&C Time Accepted | The time at which the merchant accepted the Payrix Terms and Conditions. |
T&C IP Accepted | The IP address of user that accepted the Payrix Terms and Conditions. |
Annual Sales | The dollar amount of annual sales for the merchant’s account. |
Average Ticket | The average amount for the merchant's business environment. |
SAQ Type | A PCI Self-Assessment Questionnaire (PCI SAQ) is a merchant's statement of PCI compliance. This field marks the type of SAQ type completed by the merchant. |
Last SAQ Completion Date | The date that the SAQ was completed. |
QSA | The name of Qualified Security Assessor that validated the SAQ for the merchant. |
VISA Disclosure | Did the user accept the Visa Regulation Disclosure. Choose Yes or No. |
T&C Attestation | Did the merchant provide an attestation that the information they have provided is correct and accurate to the best of their knowledge. Choose Yes or No. |
Member Bank Disclosure IP | The IP address of the user that accepted the Member Bank Disclosure. |
Member Bank Disclosure Date | The date that the user accepted the Member Bank Disclosure. |
Establish | The date when the merchant’s business was established. |
ApplePay Active | The activity status of ApplePay for the merchant. Choose Yes or No. |
ApplePay Status | The status of ApplePay for the merchant. |
Google Pay Active | The activity status of Google Pay for the merchant. Choose Yes or No. |
Business Tab Actions
The Business tab contains information that can be edited by the Referrer. To edit information, follow the steps below:
Step 1: Click the EDIT icon at the top right hand corner of the Business tab, in either the Business section or the Account section.
Step 2: Edit the information in the form.
Step 3: Save the edited information by clicking the CHECK MARK at the top right hand corner of the page, or cancel and revert to the previous information by clicking the X.
Note: More information about Business form descriptions can be found here: https://resource.payrix.com/resources/boarding-form-definitions
Owners Tab
The Owners tab contains information about the owner or owners of the merchant account, and allows you to add new owners, add authentication steps, or create or add to watch lists.
The Owners tab contains the following editable fields for the Primary Owner:
Primary Owner Tab Field Name | Description |
---|---|
ID | The Payrix-generated ID associated with primary owner’s account. |
First Name | The first name of the primary owner. |
Middle Name | The middle name of the primary owner. |
Last Name | The last name of the primary owner. |
Date of Birth | The primary owner’s date of birth. |
SSN | The primary owner’s social security number. |
Business Title | The primary owner’s business title. |
Ownership % | The percentage of the business owned by the primary owner. |
Drivers License | The drivers license number of the primary owner. |
Drivers License State | The drivers license state of the primary owner. |
Address | The street address associated with the primary owner. |
Address 2 | The suite number or other information associated with the primary owner address. |
City | The city associated with the primary owner mailing address. |
State | The state associated with the primary owner mailing address. |
Zip | The zip code associated with the primary owner mailing address. |
Country | The country associated with the primary owner mailing address. |
Citizenship | The primary owner’s citizenship. |
Timezone | The time zone at the location associated with the primary owner’s mailing address. |
Phone | The phone number associated with the primary owner’s contact information. |
Fax | The fax number associated with the primary owner’s contact information. |
The primary owner’s email address. | |
Significant Responsibility | Check the Significant Responsibility box if the owner has significant responsibility for managing the merchant and/or significant responsibility to enter the company contractually with Payrix, such as an executive officer or senior manager (e.g., Chief Executive Officer, Chief Financial Officer, Chief Operating Officer, Managing Member, General Partner, President, Vice President, Treasurer, or any other individual who regularly performs similar functions). |
Politically Exposed Person | A politically exposed person (PEP) is a person with a prominent public position such as an elected government position. Due to their position, they are considered financially risky because they may be more susceptible to bribery, corruption, or other illegal activities. |
Owners Tab Actions
The Owners tab contains information that can be edited by the Referrer. To edit information, follow the steps below:
Step 1: Click the EDIT icon at the top right hand corner of the Business tab, in either the Business section or the Account section.
Step 2: Edit the information in the form.
Step 3: Save the edited information by clicking the CHECK MARK at the top right hand corner of the page, or cancel and revert to the previous information by clicking the X.
To add an owner, follow the steps below:
Step 1: Click ADD OWNER to open a lightbox in the page.
Step 2: Enter the information for the new owner into the required fields.
Step 3: Save the new owner information by clicking ADD at the bottom of the lightbox. To cancel, click CANCEL to close the lightbox.
The following options are available
what are these?
Banking Tab
The Banking tab contains information about bank accounts associated with the merchant, and allows you to edit account information or add a new bank account.
The bank accounts associated with the merchant are listed in a table on the Banking tab, which contains the following fields:
Banking Table Field Name | Description |
---|---|
Name | The name of the bank account as described by the referrer or merchant. |
Primary Bank Account | Indicates whether the account is the primary account associated with the merchant. |
Routing Number | The routing number of the bank account. |
Account Number | The account number. |
Plaid | Indicates whether Plaid is connected to the account. |
Banking Tab Actions
The Banking tab supports the following actions:
To edit a saved bank account, follow the steps below:
Step 1: Click EDIT ACCOUNT in the right hand side of the table row associated with a specific account, and a lightbox will open in the page.
Step 2: Relink the account by clicking RELINK ACCOUNT, or click EDIT ACCOUNT MANUALLY to reenter account information.
Step 3: Click NEXT to verify the account information, then SAVE, or else cancel the account by clicking CANCEL.
To add a new account, follow the steps below:
Step 1: Click ADD NEW ACCOUNT to open a lightbox in the page.
Step 2: Relink the account by clicking RELINK ACCOUNT, or click EDIT ACCOUNT MANUALLY to reenter account information.
Step 3: Click NEXT to verify the account information, then SAVE, or else cancel the account by clicking CANCEL.
Reserves Tab
The Reserves tab contains information about reserve funds associated with the merchant. The top of the tab contains the Reserves Banner, which shows the total dollar amount of reserves for the merchant, transactions, and the total amount of reserves.
Scheduled Reserves
The Scheduled Reserves panel displays a table with information about funds that are held and released on a set schedule. The Scheduled Reserves table contains the following fields:
Scheduled Reserves Table Column Name | Description |
---|---|
Name | The name of the reserve fund, given by the referrer or merchant. |
Percent | The percent of the balance to reserve. |
Release Every | The schedule for the reserve release. |
Finish Date | The date of the last reserve release. |
Status | The status of the reserve. |
Created By | The entity who created the reserve. |
To schedule a new reserve, follow the steps below:
Step 1: Click SCHEDULE RESERVE in the upper right hand corner of the Scheduled Reserves panel to open a lightbox in the page.
Step 2: Enter the reserve information into the fields in the lightbox.
Step 3: Add the new reserve to the merchant profile account by clicking ADD, or cancel the new entry by clicking CANCEL.
Merchant Risks Panel
The Merchant Risks panel displays a table with information about funds currently in reserve due to merchant risk. The Merchant Risk table contains the following fields:
Merchant Risk Reserves Table Column Name | Description |
---|---|
Created By | The entity who created the reserve. |
Amount | The dollar amount in the reserve. |
Actions | The actions available for the funds in the reserve. |
To add a new reserve fund to the Merchant Risk Reserve, follow the steps below:
Step 1: Click RESERVE in the upper right hand corner of the Merchant Risk Reserves panel to open a lightbox in the page.
Step 2: Enter the reserve information into the fields in the lightbox.
Step 3: Add the new reserve to the merchant profile account by clicking ADD, or cancel the new entry by clicking CANCEL.
Transactions In Reserve Panel
The Transaction In Reserve panel displays a list of transactions held in reserve due to Transaction Risk.
Hold Reserves
The Hold Reserves section displays the total dollar amount of funds held in reserve. To manage the hold reserves, follow the steps below:
Step 1: Click MANAGE HOLD RESERVES to open the Risk Management page.
Step 2: Follow the instructions on the page to move select funds to reserve.
Fees Tab
The Fees tab contains a table of fees associated with the merchant account. The table contains the following fields in the default setting:
Fees Table Column Name | Description |
---|---|
Name | The name of the fee, given by the referrer or merchant. |
Amount | The dollar amount of the fee. |
Type | The type of fee selected by the referrer. |
Repeat Every | How often is the fee charged to the merchant account. |
Start | The date that the fee was implemented |
Owner | The user that oversees the fee implementation. |
Fees Tab Actions
The Fees tab supports the following actions:
To add a new fee to the merchant profile, follow the steps below:
Step 1: Click ADD FEES in the upper right hand corner of the Fees tab to open a lightbox in the page.
Step 2: Enter the information into the fields in the lightbox.
Step 3: Add the new fee to the merchant profile account by clicking ADD, or cancel the new entry by clicking CANCEL.
To remove a fee from the merchant profile, click the TRASH CAN icon on the right hand side of the row of the table.
View more information about the fee by following the steps below:
Step 1: View the Payrix-generated ID number associated with a specific fee by clicking the grey triangle on the right hand side of the row of the table.
Step 2: Access the Fees page by clicking any information in the row.
Groups Tab
The Groups tab displays any groups associated with the merchant. To assign a merchant to an existing group, follow the steps below:
Step 1: Select the 'plus' icon, and choose a group from the dropdown menu.
Step 2: Click the CHECKMARK icon to confirm the selected group.
Once the merchant is assigned to a group, a table displaying associated fees will appear in the Group tab.
To remove a merchant from a group, follow the steps below:
Step 1: Click the grey X in the top right hand corner of the box displaying the group name. A lightbox will appear on the page.
Step 2: Confirm that you are removing the merchant from the group by clicking REMOVE in the lightbox, or cancel the removal request by clicking CANCEL.
Note: More information about creating and managing your groups can be found in the Groups section of the Management category.
Terminals Tab
The Terminals tab displays a table listing terminals associated with the merchant, and allows you to add a new terminal. The table contains the following information:
Terminals Table Column Name | Description |
---|---|
ID | The Payrix-generated ID associated with the terminal. |
Name | The name of the terminal as designated by the merchant or referrer. |
Auto Close | Indicates whether the terminal automatically closes. Choose from the following: Host, Terminal, or None. |
Type | The type of terminal. Choose from the following: Authorize.net, PAX Terminals, DEJAVOO, NMI, Cybersource, Core 610, Verifone, UIC, Var - Freedom Pay, or Datacap E-Pay REPRO. |
Status | The status of the terminal. Choose Active or Inactive. |
Terminals Tab Actions
To access more information about a specific terminal, click on any information in the table row to open the Terminal page.
To add a new terminal, follow the steps below:
Step 1: Click ADD TERMINAL to open a lightbox in the page.
Step 2: Enter the terminal information in the lightbox fields.
Step 3: Save the new terminal by clicking ADD TERMINAL, or cancel by clicking CANCEL.
To remove a terminal from the merchant profile, follow the steps below:
Step 1: Click the TRASHCAN icon in the row of a specific terminal. A lightbox will open in the page.
Step 2: Confirm removing the terminal by clicking YES in the lightbox, or cancel by clicking NO.
Terminal Transactions Tab
The Terminal Transactions tab displays a table of recent terminal transactions by the merchant. The terminal transactions table contains the following information in the default view:
Terminal Transactions Table Column Name | Description |
---|---|
Amount | The dollar amount of the terminal transaction. |
Status | The status of the transaction. Choose from Approved, Pending, or Failed. |
Cardholder | The name associated with the credit card involved in the transaction. |
Payment | Indicates whether the payment was submitted at the terminal. |
Created | The date that the terminal transaction was created. |
Arrow Icon | Click on the grey triangle in any row to view additional details for a specific transaction, or click on the grey triangle in the table header to view additional details for all transactions. |
Terminal Transactions Actions
The Terminal Transactions page supports the following actions:
View additional details about a terminal transaction by clicking on any row in the Terminal Transactions table.
Access additional details about a specific terminal transaction by clicking any information in the table row to open the Terminal Transactions page for the merchant transaction.
Profit Sharing Tab
The Profit Sharing tab displays a table of profit shares associated with the merchant, and allows you to add new profit shares to the merchant's profile. The Profit Sharing table contains the following information:
Profit Sharing Table Column Name | Description |
---|---|
ID | The Payrix-generated ID associated with the profit share. |
Created | The date and time that the profit share was created. |
Name | The name of the profit share, generated by the referrer. |
Type | The type of profit share: Income, Expense, or Both. |
Amount | The amount of the profit share, displayed as a percentage. |
Profit Sharing Actions
The Profit Sharing tab supports the following action:
To add a new profit share, follow the steps below:
Step 1: Click ADD PROFIT SHARE to open a lightbox in the page.
Step 2: Enter the required information in the lightbox fields.
Step 3: To add the profit share to the merchant profile, click ADD PROFIT SHARE, or to cancel click CANCEL.
To remove a profit share from the merchant profile, follow the steps below:
Step 1: Click the three purple dots on the right hand side of the row of the specific profit share to open a lightbox.
Step 2: Remove the profit share by clicking DELETE in the lightbox, or cancel by clicking outside the lightbox on the Merchant Profile page.
Plans Tab
The Plans tab displays a table of subscription payment plans associated with the merchant, and allows you to add a new plan to the merchant profile. The plans table contains the following information in the default view:
Plans Table Column Name | Description |
---|---|
Name | The name of the subscription plan. |
Schedule | The payment schedule for the subscription plan. |
Amount | The dollar amount of each scheduled payment. |
Status | The status of the subscription: Active or Inactive. |
Subscriptions | The number of customer subscriptions associated with the plan. |
Arrow Icon | Click on the grey triangle in any row to view additional details for a specific transaction, or click on the grey triangle in the table header to view additional details for all transactions. |
Plans Actions
The Plans tab supports the following action:
To access the Plan Details page, click any information in a row of the Plans table.
To add a new payment plan, follow the steps below:
Step 1: Click ADD PLAN to open a lightbox in the page.
Step 2: Enter the required information in the lightbox fields.
Step 3: To add the plan to the merchant profile, click ADD PLAN, or to cancel click CANCEL.
Withdrawals Tab
The Withdrawals tab contains two sections, the list of scheduled withdrawals and the withdrawal history for the merchant account. The tab also allows you to add a new scheduled withdrawal to the merchant profile.
The scheduled withdrawal section is located in the top of the box, and displays a table of scheduled withdrawals. The table contains the following information in the default view:
Withdrawal Schedule Table Column Name | Description |
---|---|
Name | The name of the scheduled withdrawal. |
Frequency | How often the withdrawal occurs. |
Amount Type | The type of withdrawal amount: Actual, Percentage, or Surcharge. |
Amount | The amount of the withdrawal. |
Float | The dollar amount that will be withheld from the Referrer's payout. |
Account | The account that the withdrawal occurs from. |
Delete | Click the purple dots to open a lightbox to delete a withdrawal from the merchants profile. |
Arrow Icon | Click on the grey triangle in any row to view additional details for a specific transaction, or click on the grey triangle in the table header to view additional details for all transactions. |
Withdrawal Schedule Actions
To add a withdrawal schedule to the merchant account, follow the steps below:
Step 1: Click ADD WITHDRAWAL SCHEDULES at the top right hand corner of the box to open a lightbox in the page.
Step 2: Enter the required information in the lightbox fields.
Step 3: To add the withdrawal schedule to the merchant profile, click CREATE WITHDRAWAL, or to cancel click CANCEL.
To access more information about a specific withdrawal, click any information in a row to open the Withdrawal Schedule.
The Withdrawal History section is displayed at the bottom of the Withdrawals tab, and displays a table that contains the following information in the default view:
Withdrawal History Table Column Name | Description |
---|---|
ID |
|
Date Created |
|
Account |
|
Status |
|
Amount |
|
Arrow Icon | Click on the grey triangle in any row to view additional details for a specific transaction, or click on the grey triangle in the table header to view additional details for all transactions. |
Costs Tab
xxx find later
Disputes Tab
The Disputes tab displays a table with information on any disputes associated with the merchant. The Disputes table contains the following information:
Disputes Table Column Name | Description |
---|---|
Name | The name of the customer associated with the disputed transaction. |
TXN ID | The Payrix-Generated transaction ID. |
Amount | The dollar amount of the transaction. |
Account | The account associated with the disputed transaction. |
Created | The date that the dispute was created. |
Return Code | The reason for the disputed payment. |
Platform IDs Tab
Notes Tab
Documents Tab
Billing Schedules Tab
Setup Details Tab
Funding Parameters Tab
Payment Updates Tab
Customize Your Merchant Table View
You can customize your view using the options found at the top of the table. View the Table Search and Sort Instructions for instructions on customizing, sorting, or searching tables.
Expand the section below to view a complete list of the data that you can display on the :
Fees Tab
Terminal Transactions tab
Plans
Related Pages:
Management
Merchants
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