Incoming and outgoing payments
Structure your financial flows: collection, transfers, payouts, commissions, operational tracking and reporting.
In brief
Collect, pay and reconcile multi-party flows: each operation has a status. Available methods and timeframes depend on the project. No universal availability is promised here.
Platforms no longer just display a transaction: they need to collect, track, split and document financial flows between multiple parties (clients, merchants, service providers or users). Tractial makes it possible to embed incoming and outgoing payments into digital journeys, with built-in tracking, control and reporting.
Two rails, then reporting
- Incoming rail
Collecting funds into the payment infrastructure.
- Outgoing rail
Transfers, payouts, commissions according to the project rules.
- Convergence
Statuses, reconciliation and reporting in Payment.net.
See the page
Teaching statuses: initiated, in progress, executed, rejected, reconciled. Not a timing commitment.
Use cases
Marketplaces
Collection, commissions, seller payouts and operations tracking.
B2B SaaS
Payment collection embedded in business software, payment tracking and reconciliation.
Regulated platforms
Managing flows tied to journeys requiring compliance, traceability and reporting.
Features
- Incoming payments
- Outgoing transfers
- Payouts
- Commissions
- Multi-party flows
- Operational tracking
- Reconciliation
- Reporting
- Payment statuses
Conditions
Terms depend on the nature of the flows, the users, the countries and each party’s responsibilities.
Regulatory framework
Payment services are operated within the regulatory scope applicable to Tractial and to the partner’s project. Terms depend in particular on the nature of the flows, the users, the countries involved and each party’s responsibilities.
FAQ
Does Tractial replace a checkout solution?
Tractial primarily acts as a payment, account and flow-management infrastructure for platforms. Depending on the project, it can complement other acceptance or orchestration components.
Can payouts be automated?
Payout automation can be assessed based on the project scope, compliance rules and operational constraints.
How are multi-party flows tracked?
Each transaction has a status and is part of operational tracking enabling reconciliation and reporting, within the scope defined contractually.
Related pages
Marketplaces
Split and seller payouts.
See the pageAccounts
Where flows land.
See the pagePayment.net
Orchestration and reporting.
See the pageAPI
Events and webhooks.
See the page