• User Documentation 
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  • User Documentation 
  • Amaryllis Release Notes 
  • For Developers 

User Guide

  • folder icon closed folder iconGetting Started
    • Logging In for the First Time
    • System Hierarchy
    • Hierarchy Usage and Summary View
    • Understand Fee and Commission
    • Understanding Reports
    • Making Configuration Easier
  • folder icon closed folder iconSystem Administration
    • Putting It All Together
    • System Setup Flow
    • Platform Account Administration
    • Platform Account Configuration
    • Service Provider Administration
    • Service Provider Configuration
    • Operator and Service Provider Branding Settings
    • Sub-Account Administration
    • Sub-Account Configuration
  • folder icon closed folder iconUser Administration
    • System Users and Functionality
    • Back Office User Administration
    • API User Administration
    • Agent Administration
    • Agent Configuration
  • folder icon closed folder iconReporting
    • Report Menu
    • Account Balance
    • Payouts
    • Payouts Reconciliation
    • Settlements
    • Approval Rate
    • Transaction Summary
    • Transactions
    • Fees Summary
    • Incoming Fees
    • Expected Future Revenue
    • Profitability Analysis Report
    • Reconciliation Summary
    • Reconciliation Records
    • Chargeback Analysis
    • Tokens Report
    • Merchant Statement
    • Management Level Reports (Operator, Service Provider, Agent, Platform)
  • folder icon closed folder iconAlerts Center
    • Rules Management
    • Alerts Management
    • Active Alerts
    • Resolved Alerts
  • folder icon closed folder iconUnderwriting Management
    • Underwriting Templates
    • Underwriting Template Configuration
    • Underwriting Application
    • Underwriting Application Configuration
    • Managing Underwriting Application
    • Sign-Up Summary
  • folder icon closed folder iconDisputes Management
    • Active Disputes
    • Resolved Disputes
  • folder icon closed folder iconTransactions Processing
    • Transaction Types
    • Import Mode
    • Echo Mode
  • folder icon closed folder iconDashboards
    • Financials
    • Management
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  4. System Administration
  5. Putting It All Together
Updated on March 3, 2023

User Guide

  • folder icon closed folder iconGetting Started
    • Logging In for the First Time
    • System Hierarchy
    • Hierarchy Usage and Summary View
    • Understand Fee and Commission
    • Understanding Reports
    • Making Configuration Easier
  • folder icon closed folder iconSystem Administration
    • Putting It All Together
    • System Setup Flow
    • Platform Account Administration
    • Platform Account Configuration
    • Service Provider Administration
    • Service Provider Configuration
    • Operator and Service Provider Branding Settings
    • Sub-Account Administration
    • Sub-Account Configuration
  • folder icon closed folder iconUser Administration
    • System Users and Functionality
    • Back Office User Administration
    • API User Administration
    • Agent Administration
    • Agent Configuration
  • folder icon closed folder iconReporting
    • Report Menu
    • Account Balance
    • Payouts
    • Payouts Reconciliation
    • Settlements
    • Approval Rate
    • Transaction Summary
    • Transactions
    • Fees Summary
    • Incoming Fees
    • Expected Future Revenue
    • Profitability Analysis Report
    • Reconciliation Summary
    • Reconciliation Records
    • Chargeback Analysis
    • Tokens Report
    • Merchant Statement
    • Management Level Reports (Operator, Service Provider, Agent, Platform)
  • folder icon closed folder iconAlerts Center
    • Rules Management
    • Alerts Management
    • Active Alerts
    • Resolved Alerts
  • folder icon closed folder iconUnderwriting Management
    • Underwriting Templates
    • Underwriting Template Configuration
    • Underwriting Application
    • Underwriting Application Configuration
    • Managing Underwriting Application
    • Sign-Up Summary
  • folder icon closed folder iconDisputes Management
    • Active Disputes
    • Resolved Disputes
  • folder icon closed folder iconTransactions Processing
    • Transaction Types
    • Import Mode
    • Echo Mode
  • folder icon closed folder iconDashboards
    • Financials
    • Management

Putting It All Together

Users Functionality

Operator Manager Usage and Functionality

Operator Managers create and manage Service Providers and Service Provider Users. One Operator can have more than one Service Provider.

Service Provider Admin Usage and Functionality

Service Provider is a System Entity that is subordinate to the Operator. Service Provider provides a Platform to connect Buyers with Sellers, Merchants using Platform Accounts with Sub-Accounts. Service Providers also collect and disburse payments and fees, manage pay-ins and pay-outs. A Service Provider user is called Service Provider Admin. Although the Service Provider Admin user is initially created and configured by the Operator Manager, the Service Provider Admin can Edit his own Service Provider configurations, as well creating additional Service Provider Admin user. Service Provider Admin can also create and manage Agents, Platform Accounts, Sub-Accounts, and their Users. The Service Provider Admin has access to all the available reports and dashboards.

Platform Admin Usage and Functionality

Platform Account is an Entity in the System Hierarchy that is subordinate to Service Provider. Platform Account can be perceived as a virtual container, enclosing Sub-Accounts. The Platform user is called Platform Admin. The Platform Admin can create, edit, and manage Sub-Accounts and their Users, and can also edit relevant Platform Accounts.

System Setup Flow

Follow the suggested setup flow to configure the System:

  1. Collection of Business Data — collect all necessary Service Provider business data
  2. Using the data from step 1, create and configure at least one Service Provider
  3. Create and configure a Service Provider Admin
  4. Create and configure a Template Platform Account
  5. Create and configure a Template Sub-Account
  6. Start creating your merchant/seller Sub-Accounts using the Template Sub-Account(s)

Collection of Business Data

Branding

This information unit serves to brand the Back-Office according to the Service Provider requirements. The following data can be used for branding:

  • Company Name
  • Footer Text
  • Company URL
  • Dev Portal URL
  • Language
  • Theme Color
  • FAV Icon
  • Logo

The System Branding features provide a complete set of options to customize User Interface. Default Branding settings are applied and only overwritten when the users create their own custom branding changes.  

The Operator Manager will use this information when creating a new Service Provider – Steps 1 and 2 of the Service Provider Onboarding Wizard and Context Menu.

For more information on branding settings, see the Operator and Service Provider Branding Settings article

Processing

At this step, the Operator Manager determines Service Provider transactions processing configurations, such as credit card, ACH, and payout processors, cut-off time and underwriting requirement. For more information see Step 2 of the Service Provider Onboarding Wizard.

Billing

Operator (System Owner) collects all the information from Service Provider about business model applicable Fees & Residuals and Interchange Fees. For more information see Step 3 (Interchange Fees), 4 (Fees & Residuals), and 6 (Billing) of the Service Provider Onboarding Wizard.

Funding (payout banks)

Funding information is required for the system to process payouts instructions. Operator (System Owner) collects the information required to set up and configure collecting bank account(s) (Payout Bank) for Service Providers. Service Provider as a business entity collects and manages all the fundings (pay-ins and pay-outs) via the Payout Bank account. One Service Provider may have more than one Payout Bank account, but just one for each currency type. The Payout Bank used for payouts to Platform Accounts, Sub-Accounts and Agents is determined automatically based on the Service Provider settings and the currency type. For more information about the Service Provider payout bank setup see Step 5 of the Service Provider Onboarding Wizard.

Business Information

Business information is required to create alerts and notifications for a Service Provider. Alerts can be configured at any level (from Sub-Account to Operator).

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