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Working with NetSuite Payment APIs for Custom Integrations

EBizCharge

Knowing how your NetSuite payment integration works allows you to communicate better with your provider, catch small issues before they become big problems, and adjust the workflow when your business needs change. That said, it’s still important to understand what’s happening behind the scenes. or token-based credentials.

API
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100+ Payment Industry Terms Explained in Plain English

Clearly Payments

Refunds & Adjustments Refund Returning money to a customer. Void Cancelling a transaction before it settles. Adjustment A correction to a transaction amount after processing. Strategy & Optimization Interchange Optimization Adjusting how transactions are submitted to lower costs.

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How Buyer-Supplier Relationships Endure A Trade Show Void

PYMNTS

According to Bob Good, founder and CEO of Good Leads , chief marketing officers and their sales teams are left scrambling to adjust their outreach strategies. More Adjustments Ahead. But as these adjustments are made, he also predicted that there could be some more permanent changes to the way B2B buyers and sellers connect.

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Deep Dive: How 2020 Shaped The Future Of Digital-First Banking

PYMNTS

Filling this void is digital banking, which has seen unprecedented levels of adoption as customers look to carry on their financial activities without leaving their homes. In-branch operations will also likely need to be adjusted to account for the new post-pandemic paradigm. . Lessons To Take Moving Forward .

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Bridging The Accounting Gap For Lessors And Lessees

PYMNTS

While the new solution aims to fill the void of servicing the lessor side of leasing arrangements, Mia explained that promoting accounting compliance is a complex task thanks to the multitude of leasing models, particularly in the commercial and government real estate market. ”

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What is Cash Reconciliation?: A Complete Guide

Nanonets

Process : It involves a detailed multi-step procedure aimed at minimizing errors or misstatements within financial statements, utilizing a cash reconciliation sheet to document any variances and necessary adjustments. Summarizing net sales figures using the cash register tape, including gross sales, voided sales, and sales returns.

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Helping FIs Maximize Card Portfolio Returns In Volatile Times

PYMNTS

That void is always going to be filled.”. This can include communications to recognize customer milestones, adjust fees, provide offers or send alerts for risk management activities related to delinquencies and fraud. “Is that taking you months or is it taking you days?” ” she asked. Not surprisingly, speed matters.