Documentation
for developers and administrators
Home
APIs
Processing
Billing
Management
Webhooks
Manuals
Terminology
User Guides
User Interface Reference
How-To Tutorials
Lessons
Data Dictionaries
UniCore
UniCharge
UniBill
Build
Properties Definition
Resources (Directory Structure)
Zip and Country Codes
Development
Log Files
Permissions
JNDI Names
Job Queues
Reference Materials
Supported Providers (Banks & Networks)
UniPay Codes & Code Mappings
Integrated 3rd Party Libraries
Diagrams and Documents
Entire website
This section only
Console
Home
Home
Customers
Customers
New Customer
Customer Auditing
Setup
Billing Cycles
Items
Taxes
Billing Profiles
Adjustment Reasons
Account Groups
Actions
Letters
Emails
Notes
Documents
Billings
Transactions
New Sale (Card)
New Sale (Direct Debit)
New Refund (Card)
New Refund (Direct Debit)
Tokens
Transactions
Subscriptions
Chargebacks
Chargebacks
Remittance
Merchant Statement List
Balances
Charges
Modify Charge
New Charge
Reports
Reports
Submissions
Batch List
Files
Equipment
Terminals
Terminal Order List
Management
Merchant Perspective
New
New Merchant
New Merchant (Extended)
New Account (Extended)
New Merchant (Provisioning)
Provisioning New Merchant
Provisioning New Account
Onboarding Application Wizard (Merchant)
Onboarding Application Wizard (Account)
Onboarding Application Wizard (Affiliate)
Manage Selection
Select Merchants (Modify Selection)
Select Single Merchant
Details
General
Settings (Remittance)
Deposit
Settings (Processing)
Business
Owners
References
Limits
Profiles
Rules
Letters
Emails
Convenience Fees
Customer Fees
Settings (Billing)
Branding Profile (Merchant)
Accounts
Accounts
Terminals
Terminals
Processing
Transactions
View Transaction
Chargebacks
Tokens
View Transaction (Split-In/Pull-In)
View Transaction (Split-Out/Pull-Out)
Processor Transactions
View Provider Transaction
Transaction
Subscriptions
View Subscription Transaction
Remittance
Adjustments List
Commissions
Fees
Merchant Statement List
Distributions
Split Schema
Balances
Charges
Modify Charge
New Charge
Submissions
Batch List
Files
View Batch
Resources
Merchant Labels
Pages
Equipment
Terminal Order List
Reports
Reports
Security
Users List
Access Policy Roles
Reseller Perspective
New
New Reseller
Details
Reseller Details
Custom Fields
Branding Profile (Reseller)
Defaults
Settings Defaults
Merchants
Merchants List
Onboarding
Onboarding Applications
Agreements
Remittance
Reseller Statements Breakdown
Reseller Statement Breakdown Modify
Reseller Statement Detail Modify
Commissions
Reseller Statement
Security
Users List
Access Policy Roles
Equipment
Configurations
Terminals
Terminal Order List
Reports
Reports
Reports
Portfolio Perspective
New
New Portfolio
Details
Portfolio Details
Branding Profile (Portfolio)
Defaults
Settings Defaults
Entities
Merchants
Resellers
Channels
Equipment
Terminal Update Profile List
Update Search
Repository
Fulfillment Center
Terminals
Parameters
Terminal Messages
Onboarding
Applications
Agreements
Configurations
Configurations
Billing Configurations
Profiles
Distributions
Distributions
Remittance
Pricing Template List
Taxes
Modify Tax
Announcements
Announcements
Agreements
Merchant Agreements
Security
Users List
Access Policy Roles
Profiles
Provisioning Settings
Facilitator Profile List
Onboarding *
Processing
User Perspective
New
Human User
Service User
Details
Human User Details
Service User Details
Merchants
Merchants List
Resellers
Resellers List
Portfolios
Portfolios List
Security
Security
Terminal Perspective
Details
Terminal Details
Parameters
Terminal Parameters
Updates
Terminal Updates
Logs
Logs
Terminal Migration Log
Distributions Perspective
New
New Vendor
New Holding Account
Details
Distributions Details
Statements
Statements
Fulfillment Perspective
New
New Fulfillment Center
Details
Fulfillment Details
Users
Users
Shipping
Shipping
Orders
Terminal Order List
Configurations
Configurations
Keys
Keys
Models
Models
Administration
Setup Perspective
Error Codes
Error Codes
Email Templates
Email Templates
Response Codes
Response Codes
Holidays
Holidays
Note Templates
Note Templates
Security
Access Policy Roles
Blacklist
Blacklist
System Perspective
Statistics
Merchant Financial Statistics
IQ
Database Querying Module
Log Querying Module
Vel Tracking
Velocity Tracking
Branding
Branding
Branding Profile (System)
Keys
Decryption Keys
Agreements
User Agreements
Jobs
Send Message
Manual Remittance Post Statements
CLI Command
Job Object
Job Messages
Processing Lock
Logs
Browse Logs
Analyze Logs
Transaction Logs
Server Log
Files
FTP Gates
File Store
Sanitization
Sanitization Profile
Reporting
Reporting
Modify Report
Providers
Provider
Codes
Import Format
Resource Code
Currency Sign
System
Settings
Diagnostic
System
Audit Perspective
Changes
Merchants
Resellers
Users
Terminals
Portfolios
Portfolios
Users
Users List
Analysis
Analysis
Errors
Errors
Transactions
Transactions Audit
Monitoring Perspective
Manage Selection
Select Merchants (Modify Selection)
FTP Gates
FTP Gates
Transactions
Transactions
Sub Batch
Sub Batch
Statements
Merchant Statement List
Statement Reconciliation
File Store
File Store
Account Profile
Merchant Account Profile
Billing History
Billing History
Providers
Provider Profile
Provider Account
Jobs
Send Message
Manual Remittance Post Statements
Job Object
Job Messages
Processing Lock
Camel Routes
Reporting
Processing
Processor Reconciliation
Processing Reconciliation
Transaction Summary
Transaction Detail
Remittance
Reconciliation
Queue
Reports Queue
Reports
Reports
Console perspective (new)
Items
Merchant Financial Statistics
Type:
Form
Description:
Provides access to various statistics information that is available within the system.
Items:
Merchant Financial Statistics Search
Includes various merchant financial statistics search options.
¦_
Find
Executes search based on predefined criteria.
¦_
Clear
Clears any selected criteria - resets the form to its original state.
¦_
Remittance Date
Search criteria to locate financial transaction within the certain date range.
Either beginning or end date is necessary.
¦_
Deposit Date
Search criteria to locate financial transaction within the certain date range.
Either beginning or end date is necessary.
¦_
Merchant Name
Search criteria to locate financial transaction with a specific name by entering either full or partial name.
¦_
Amount
Search criteria to locate financial transaction by the amount of transaction.
Transaction Code Search
Includes various transaction codes search options.
¦_
Find
Executes search based on predefined criteria.
¦_
Clear
Clears any selected criteria - resets the form to its original state.
¦_
Transaction Code
Search criteria to locate financial transaction by a particular transaction code or list of transaction codes.
Merchant Financial Statistics List
Includes the list of finansial transactions found based on the search criteria specified.
¦_
ID
Identifier of the object used for references; auto-incremented integer value.
References:
Merchant Financial Statistics.
Id
¦_
Merchant Account Code
Code of
Merchant Account
to which instance of this object is attributed to. Depending on the context, Merchant Account Code field may contain either Merchant Code or Merchant Account Code.
The field is primarily used for data partitioning and data management, to make it easy to determine the ownership of a record within the database.
References:
Merchant Financial Statistics.
Merchant Account Code
¦_
Merchant Name
Code of the corresponding merchant account group.
References:
Merchant Financial Statistics.
Merchant Account Group Code
¦_
Transaction Code
The unique code of the financial transaction.
References:
Merchant Financial Statistics.
Transaction Code
¦_
Amount
The amount of the transaction. Supply the value in cents without a decimal point.
References:
Merchant Financial Statistics.
Amount
¦_
Request Date
Date of the request.
References:
Merchant Financial Statistics.
Request Date
¦_
Response Date
Date of the response.
References:
Merchant Financial Statistics.
Response Date
¦_
Remittance Date
Date of the remittance.
References:
Merchant Financial Statistics.
Remittance Date
¦_
Deposit Date
Date of the deposit.
References:
Merchant Financial Statistics.
Deposit Date
¦_
Adjust
Allows to adjust the selected transaction.
Opens Form:
Adjustments
¦_
Adjust All
Allows to adjust all the transactions available.
Opens Form:
Adjustments
Adjustments
Includes various transaction adjustment options.
¦_
Save
Saves all changes on the form.
¦_
Close
Closes the form without saving any changes.
¦_
Remittance Date
Date of the remittance.
References:
Merchant Financial Statistics.
Remittance Date
¦_
Deposit Date
Date of the deposit.
References:
Merchant Financial Statistics.
Deposit Date
¦_
Username
Code of the user in the system.
References:
Merchant Financial Statistics.
User Code
¦_
Adjustment Date
Date when the financial transaction is adjusted.
References:
Merchant Financial Statistics.
Adjustment Date
¦_
Notes
Any additional notes related to the adjustment of the transaction within the system.
References:
Merchant Financial Statistics.
Adjustment Note