Program prefund
Fund management for your program
Every product has a prefund, which serves as an operating account for financial payments made to end users.
Depending on your product configuration, the debits made by the user can also be added to the product's prefund.
Depending on the program region and currency, the product can be issued with a product virtual account that can be used to facilitate collections or pre-fund top-ups via the banking channels.
Product prefund
The product prefund serves as an account used to manage the funding capability of users in the product. Every time an end-user wallet is funded, it will create a debit record on the product prefund.
In addition, every credit for the end-user also adds a credit entry to the debit prefund.
Debit prefund
Debit prefund serves as a ledger that monitors the total amount of funds available for end users' accounts to spend.
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