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

Release Notes

  • folder icon closed folder iconRelease 3.3.10
    • UMS Enhancements
    • Interchange Fees Enhancements
    • Reports Enhancements
    • New: Per-Transaction Amount Limits
    • System Enhancements
  • folder icon closed folder iconRelease 3.3.9
    • Email Two-Factor Authentication
    • UMS Enhancements
    • System Enhancements
  • folder icon closed folder iconRelease 3.3.8
    • UMS Enhancements
    • Payouts Enhancements
    • Reports Enhancements
    • Alerts Center Enhancements
    • Stripe Integration: Dispute Management
    • GIACT Fraud Service for ACH Transactions
    • Gateway Updates
  • folder icon closed folder iconRelease 3.3.7
    • UMS Enhancements
    • Reports Enhancements
    • New API User roles
    • Alerts Center Enhancements
    • System Enhancements
    • Integration with Stripe
  • folder icon closed folder iconRelease 3.3.6
    • Code of Conduct
    • UMS Enhancements
    • Alert Center Enhancements
    • Support Agent Id in Billing Override
    • Sub-Accounts status “Funds Hold”
    • Payouts Reject Management
    • Recurring Billing
    • Adding Get Collection methods to Management API
    • Notifications Management
    • System enhancements
  • folder icon closed folder iconRelease 3.3.5
    • UMS external validation: TransUnion USA new configuration
    • UMS external validation: Integration with TransUnion Canada
    • New UMS Application status
    • New Action for UMS External Validation
    • UMS Application Filter
    • UMS Application Addresses auto-filling
    • Auto-Approval UMS Application
    • UMS Application export JSON
    • UMS Webhook
    • Integration with Fiserv
    • System enhancements
    • Transaction type selection for Pricing Tier Fee
    • Reports Aggregated View enhancements
    • Alerts Center improvements
    • Reports improvements. Revenue columns
  • folder icon closed folder iconRelease 3.3.4
    • UMS Enhancements
      • Onboarding to NMI Gateway
      • Enhanced LexisNexis validation results
      • Added UMS Notifications settings
    • Feature Enhancements
      • Implemented Reports Aggregated View
      • Entities Reports API
      • Configuration of Quantity for Scheduled Fees
      • Conditional Scheduled Fees
      • Support for 2-step approval for negative payouts
      • BPC CC processing Integration
      • Added Internal Merchant Statement
      • Agent Access enhancements
  • folder icon closed folder iconRelease 3.3.3
    • UMS Enhancements
      • GIACT
      • Lexis Nexis
      • Adding “POS / Terminal Details” section to Applications preview details
      • Additional fields to Templates and Applications
    • Feature Enhancements
      • Support for Operator Managers with selected Service Providers
      • Adding BuyRate and Split capabilities to Scheduled fees
      • Pricing Tier Fee (formerly known as Scale Range Fees) Enhancements
      • Multiple Payout Banks
      • Reports aggregated view
  • folder icon closed folder iconRelease 3.3.2
    • Financial Dashboard and Management Dashboard Renewed
      • Financial Dashboard
      • Management Dashboard
      • Operators and Service Providers wizard Enhancements
    • Chargeback Analysis report Enhancements
    • Alert Center Enhancements
    • Underwriting Management Improvements
      • Application Re-Validation
      • New API endpoint for Application files management
    • Integrations – Merchant Warrior Improvements
  • folder icon closed folder iconRelease 3.3.1
    • Chargeback Reason Description for Transactions Report
    • External Fee Ids
    • Seasonal Fee Enhancement – Relative Date
    • Partner Self-Management – Billing/Pricing Optimization
    • New API Endpoints: Get Validation Result and Get Onboarding Details
    • PDF Application Export for merchants boarded to TSYS 
    • New API/BO Role with Limited Permissions for Underwriting Management 
    • Automatic Creation of Sub-Account
    • New API Endpoint: Get Pricing Details
    • UMS Enhancements
    • Integration with Checkout
    • Enhancements for TSYS Onboarding Process
  • folder icon closed folder iconRelease 3.2.16
    • New Payment Type Filter for Reports
    • Report Improvements for Merchant View
    • New API Endpoint: Get Resubmission
    • Actions at Entities and Banks Validation by External Services
  • folder icon closed folder iconRelease 3.2.15
    • Underwriting Management
    • System administration
    • Transactions processing
    • Reports
    • Processing gateway improvements
    • New CFSB Payout Processor
  • folder icon closed folder iconRelease 3.2.14
    • UMS. Internal Notes & Documents for an Application
    • TransUnion External Validation Service Integration
    • HYP Processing
    • Merchant Warrior Improvements
    • Processing Gateway Improvements
  • folder icon closed folder iconRelease 3.2.13
    • Back-Office customization
    • Branding preview to Operator and Service Provider
    • Fee Summary report enhancement
    • Fee on Fee for Agents
    • UMS Enhancement
    • NMI Processing
    • API user permission changes
  • folder icon closed folder iconRelease 3.2.12
    • Backoffice Users Self-Edit
    • Back-Office Page Customization
    • Buyrate Enhancements
    • UMS: Multiple owners and contacts
    • Multi-Factor Authentication (MFA)
    • Reports Scheduler enhancements
    • Duplicate MID Check
    • Reports API Enhancement
    • Payout Details Self-Edit
  • folder icon closed folder iconRelease 3.2.11
    • UMS 2.0
    • UMS Improvements
    • UMS Application Resubmit
    • Underwriting and Onboarding Analytics
    • Dispute Management
    • Back-Office Branding Enhancements
    • Payouts Reconciliation Report
    • Profitability Analysis report for Sub-Accounts
    • CIBC Canada
    • CIBC US Implementation
    • Sub-Account Creation Template Modifications
    • Disable Scheduled Payouts
    • New JSON endpoint for processing transactions
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  4. Release 3.2.14
  5. TransUnion External Validation Service Integration
Updated on July 5, 2022

Release Notes

  • folder icon closed folder iconRelease 3.3.10
    • UMS Enhancements
    • Interchange Fees Enhancements
    • Reports Enhancements
    • New: Per-Transaction Amount Limits
    • System Enhancements
  • folder icon closed folder iconRelease 3.3.9
    • Email Two-Factor Authentication
    • UMS Enhancements
    • System Enhancements
  • folder icon closed folder iconRelease 3.3.8
    • UMS Enhancements
    • Payouts Enhancements
    • Reports Enhancements
    • Alerts Center Enhancements
    • Stripe Integration: Dispute Management
    • GIACT Fraud Service for ACH Transactions
    • Gateway Updates
  • folder icon closed folder iconRelease 3.3.7
    • UMS Enhancements
    • Reports Enhancements
    • New API User roles
    • Alerts Center Enhancements
    • System Enhancements
    • Integration with Stripe
  • folder icon closed folder iconRelease 3.3.6
    • Code of Conduct
    • UMS Enhancements
    • Alert Center Enhancements
    • Support Agent Id in Billing Override
    • Sub-Accounts status “Funds Hold”
    • Payouts Reject Management
    • Recurring Billing
    • Adding Get Collection methods to Management API
    • Notifications Management
    • System enhancements
  • folder icon closed folder iconRelease 3.3.5
    • UMS external validation: TransUnion USA new configuration
    • UMS external validation: Integration with TransUnion Canada
    • New UMS Application status
    • New Action for UMS External Validation
    • UMS Application Filter
    • UMS Application Addresses auto-filling
    • Auto-Approval UMS Application
    • UMS Application export JSON
    • UMS Webhook
    • Integration with Fiserv
    • System enhancements
    • Transaction type selection for Pricing Tier Fee
    • Reports Aggregated View enhancements
    • Alerts Center improvements
    • Reports improvements. Revenue columns
  • folder icon closed folder iconRelease 3.3.4
    • UMS Enhancements
      • Onboarding to NMI Gateway
      • Enhanced LexisNexis validation results
      • Added UMS Notifications settings
    • Feature Enhancements
      • Implemented Reports Aggregated View
      • Entities Reports API
      • Configuration of Quantity for Scheduled Fees
      • Conditional Scheduled Fees
      • Support for 2-step approval for negative payouts
      • BPC CC processing Integration
      • Added Internal Merchant Statement
      • Agent Access enhancements
  • folder icon closed folder iconRelease 3.3.3
    • UMS Enhancements
      • GIACT
      • Lexis Nexis
      • Adding “POS / Terminal Details” section to Applications preview details
      • Additional fields to Templates and Applications
    • Feature Enhancements
      • Support for Operator Managers with selected Service Providers
      • Adding BuyRate and Split capabilities to Scheduled fees
      • Pricing Tier Fee (formerly known as Scale Range Fees) Enhancements
      • Multiple Payout Banks
      • Reports aggregated view
  • folder icon closed folder iconRelease 3.3.2
    • Financial Dashboard and Management Dashboard Renewed
      • Financial Dashboard
      • Management Dashboard
      • Operators and Service Providers wizard Enhancements
    • Chargeback Analysis report Enhancements
    • Alert Center Enhancements
    • Underwriting Management Improvements
      • Application Re-Validation
      • New API endpoint for Application files management
    • Integrations – Merchant Warrior Improvements
  • folder icon closed folder iconRelease 3.3.1
    • Chargeback Reason Description for Transactions Report
    • External Fee Ids
    • Seasonal Fee Enhancement – Relative Date
    • Partner Self-Management – Billing/Pricing Optimization
    • New API Endpoints: Get Validation Result and Get Onboarding Details
    • PDF Application Export for merchants boarded to TSYS 
    • New API/BO Role with Limited Permissions for Underwriting Management 
    • Automatic Creation of Sub-Account
    • New API Endpoint: Get Pricing Details
    • UMS Enhancements
    • Integration with Checkout
    • Enhancements for TSYS Onboarding Process
  • folder icon closed folder iconRelease 3.2.16
    • New Payment Type Filter for Reports
    • Report Improvements for Merchant View
    • New API Endpoint: Get Resubmission
    • Actions at Entities and Banks Validation by External Services
  • folder icon closed folder iconRelease 3.2.15
    • Underwriting Management
    • System administration
    • Transactions processing
    • Reports
    • Processing gateway improvements
    • New CFSB Payout Processor
  • folder icon closed folder iconRelease 3.2.14
    • UMS. Internal Notes & Documents for an Application
    • TransUnion External Validation Service Integration
    • HYP Processing
    • Merchant Warrior Improvements
    • Processing Gateway Improvements
  • folder icon closed folder iconRelease 3.2.13
    • Back-Office customization
    • Branding preview to Operator and Service Provider
    • Fee Summary report enhancement
    • Fee on Fee for Agents
    • UMS Enhancement
    • NMI Processing
    • API user permission changes
  • folder icon closed folder iconRelease 3.2.12
    • Backoffice Users Self-Edit
    • Back-Office Page Customization
    • Buyrate Enhancements
    • UMS: Multiple owners and contacts
    • Multi-Factor Authentication (MFA)
    • Reports Scheduler enhancements
    • Duplicate MID Check
    • Reports API Enhancement
    • Payout Details Self-Edit
  • folder icon closed folder iconRelease 3.2.11
    • UMS 2.0
    • UMS Improvements
    • UMS Application Resubmit
    • Underwriting and Onboarding Analytics
    • Dispute Management
    • Back-Office Branding Enhancements
    • Payouts Reconciliation Report
    • Profitability Analysis report for Sub-Accounts
    • CIBC Canada
    • CIBC US Implementation
    • Sub-Account Creation Template Modifications
    • Disable Scheduled Payouts
    • New JSON endpoint for processing transactions

TransUnion External Validation Service Integration

A new UMS external validation service – TransUnion – has been added to the system.

TransUnion allows to check the merchant’s credit profile data for US merchants. TransUnion provides personal information (name, addresses, date of birth, and Social Security number), employment information, and credit history.

TransUnion check conditions are configured by the User in the template

The results of the TransUnioin validation can be seen in the Application Preview Grid after the check has been performed by TransUnion.

VantageScore credit score reflects the Owner’s rating based on the analysis of the Credit Report information that is predictive of certain behavior. The decision on Application status (approved/disapproved) depends thereon.

More detailed information on validation results is given in the Credit Report.

The Credit Report contains the following subsections:

  • Credit Summary: providing the totals of public records, collections, inquiries, and different types of accounts found on the consumer’s file along with aggregated amount data for a specific type of credit account;
  • Public Records: public record data;
  • Collections: information about collection accounts;
  • Inquiries: identification of the origin of inquiries that appear on merchants;
  • ID Mismatch: highlighting mismatched addresses, invalid ZIP codes, SSN (Social Security Numbers) mismatch conditions, and inquiry activity;
  • TruValidate Fraud Alerts: pinpointing suspicious and fraudulent data;
  • Trade Accounts: information about accounts with merchants and financial institutions.
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