Scheduled for Beta (and wider release throughout January 2025)
Access ProPay inside SingleOps to manage your account, manage account funding, access documents and chargebacks, and pull reports on payments processed via ProPay. This portal will allow you to manage all aspects of SingleOps Payments without leaving our platform.
In this article:
SingleOps Payments Account Management
Navigation
Account Funding
Account Maintenance
Documents and Chargebacks
Reporting
SingleOps Payments Account Management
Navigation
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Setup > Payments > Payments Setup
- Toggle to the Account Management tab
Account Funding
Update Checking Account |
Add or change bank account on your profile. This is the default account on file for bank transfers, fees, etc. Fill out information listed below. You must have a bank account on file to transfer funds from your ProPay Account to a bank account or to add funds from a bank account into your ProPay Account.
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- Add/Update Checking Account - Checking, Personal, Saving, Business
- Routing Number
- Bank Account Number
Requirements:
- You may change the bank account in your profile no more than twice every 90 days.
- You may only enter a U.S. account. Foreign bank accounts are prohibited.
- Ensure the routing and bank account numbers entered are correct. If a transfer is rejected, your account may be subject to a $10 'ACH Return' fee. If you have any doubt as to the accuracy of the routing or bank account numbers, please contact your bank to verify them.
- Do not use a deposit slip to determine your routing number.
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Transfer Funds to Bank Account |
Manage your account balance by transferring funds to your bank account through our sponsor bank partners.
Enter banking information: |
View your account balances: |
- Bank Name
- Bank Routing Number
- Bank Account Number
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- Balances
- Transfer Amount
- Available to Transfer
- Minimum Transfer Amount
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Enter $ Amount to Transfer and when ready to transfer, click REVIEW
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Confirm Validation Deposits |
*Before "Confirm Validation Deposits", see "Send Validation Deposits" below.
To confirm validation for added or changed bank account, enter the amount for the two (2) deposits that were sent to your bank account in order to validate that bank account. You are only allowed one opportunity to verify the deposit amounts and any incorrect response will require you to start the validation process over again. Verify the deposit amounts before pressing the SUBMIT button.
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Send Validation Deposits |
To initiate account validation deposits for bank account verification, click CONTINUE and look into your bank account as we have made two small deposits to validate both routing and account numbers. |
Account maintenance
Edit Business Info |
Update Address and Phone |
Update Email |
Edit Payment Method |
Edit essential business information.
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Update or change the account owner's personal contact information.
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Update or change the account owner's email address.
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Edit credit card used for account renewal fees.
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Business Information:
- Business Name (DBA)
- Legal Business Name
- Tax Identification Number (Optional)
- Business Phone Number
- Select a Time Zone
Business Address:
- Address (No PO Box)
- City, State, Postal Code
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Update Physical Address & Mailing Address:
- Street Address
- City, State, Postal Code
Update Phone:
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Update Your Email Information:
- Current Email On File
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Enter New Email Address
*Note: You may only change your e-mail address twice within six months.
- Social Security Number
- Date of Birth
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Credit Card Information *all fields are required:
- Card Number
- mm/yy
- ZIP/Postal Code
- Cardholder Name
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Documents and Chargebacks
Upload Document |
Securely transfer important documents, primarily for disputing chargebacks, support a transaction, or verify your identity. Select the document category and upload all related files. Document Category:
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- Not Specified
- Transaction Review
- Limit Increase
- Account Verification
File Restrictions:
- Upload a file with valid extension: bmp, gif, png, jpg, jpeg, doc, pdf, tiff, tif or docx.
- File size should be less than 10 MB and should be greater than 0 KB.
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List Chargebacks |
Review your outstanding Chargebacks and Risk Retrievals. Click on Take Action to dispute a chargeback and to upload supporting documentation or to accept the Chargeback and issue a refund to your customer. You can also click the Remove link to remove the transaction from the report if you no longer want or need to take action on that transaction.
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Reporting
Advanced Transaction Search |
To search for a specific transaction, enter any of the information:
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- Select a date range for report: Staring Date - Ending Date
- Gross Amount
- Transaction Number
- Last 4 Digits of Account
- Authorization Currency
- Type to Display (CC, ACH, ProPay Mastercard, Decline, Credits, etc.)
- Invoice Number
- Username
- Payer Name
- Payer Email
- Comment #1 & Comment #2
- Show Additional Data
- Consolidate Fee
- Export Advanced Transaction Search Report - from the dropdown, select export type (CSV, Excel, Word) and click EXPORT
- Click Explanation of Headings for heading details.
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Consolidated Fees |
Generate and view custom consolidated fees reports for a given date range and follow up on each item.
- Select a date range: Staring Date - Ending Date
- Click SEARCH
- Export Consolidated Fee Report - from the dropdown, select export type (CSV, Excel, Word) and click EXPORT
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Limits, Rates, and Fees |
Review the processing limits, rates and fees for your account. For questions about this topic, visit the SingleOps Help Center or contact SingleOps Support.
Limits |
Rates |
Fees |
Funding |
- Credit Card - ACH Out - Account to Account Transfer - ACH In (transfer funds to bank account on file)
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- Card Reader Rates - Account to Account Transfer - ACH In (add funds) - Standard Rates - ACH Out (transfer funds to bank account on file) - ACH Payments
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- Account Fees - Miscellaneous Fees - ATM Fees - Incidental Fees
*Third-party fees may apply
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- Credit Card Funding
- Card Transactions Fund
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Transaction Report |
View the transactions on the account, both pending and completed. Search the date range and click the transaction number for details about the transaction.
- Choose the Start Date and select a Sweep Report Type from the dropdown (Standard or Advanced)
- Click SEARCH
- View Pending Transactions and Completed Transactions
- Click Explanation of Headings for heading details.
- Export Transaction Report - from the dropdown, select export type (CSV, Excel, Word) and click EXPORT
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Sweep Report |
- Choose the Start Date and select a Sweep Report Type from the dropdown (Standard or Advanced)
- Click Continue
- View Sweep Report
- Click Explanation of Headings for heading details.
- Export Sweep Report - from the dropdown, select export type (CSV, Excel, Word) and click EXPORT
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Tax Information |
Provides an account summary for the financial year. *Note: This is only available after the year's end. |
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