Collecting Balance (v1.0.0)

No summary

The Balance Service is responsible for managing and maintaining the daily balances and transaction data. It plays a critical role in tracking and reconciling financial activities to ensure accuracy and reliability in the system’s overall financial management.

Manages balances for multiple account types, including:

  • MerchantDebt
  • ClientFunds
  • PSPReceivable
  • Escrow
  • Caps
  • Revenue
  • Diff
  • Cost