Manage Payments
Automatcher
Reconciliation Rules
this feature allows you to specify the criteria for accepting incoming npp and de payments, by specifying the exact amount you expect to receive to an virtual account number or payid in an agreed timeframe when a payment is recieved it is evaluated against the reconciliation rules you have set up for the account, and returned if it doesn't meet an active rule inbound transactions will only be accepted if bsb, account number, and amount matches an active reconciliation rule; or payid and amount match an active reconciliation rule there are two types of reconciliation rules smart reconciliation rules, which reject underpayments and refund the excess amount from overpayments once a payment is accepted using a smart reconciliation rule, the rule immediately expires general reconciliation rules, which only accept the exact amount specified and reject overpayments or underpayments smart reconciliation rules differ from general reconciliation rules in that only one may be set up at a time per account number or payid, whereas multiple general reconciliation rules for different values can be set up simultaneously on a single account number or payid an optional expiry date time can be specified for each rule if expiry date is not provided, this will be defaulted as per a pre decided setup managing reconciliation rules you can query an active reconciliation rule by id, or request a list of all active rules by date if a reconciliation rule is no longer required you can cancel it using the cancel reconciliation rule docid\ rnwonpblq7ec7dyamjdg4 endpoint