Overview
Read more about some of our sundy services in this section.
Adhere to the Netcash brand guidelines when developing.
Not sure what a term we used means? Find your answers in our glossary.
We have published a list of all the web service endpoints with their respective methods
Service that allows a remote system to establish the compliance status of a Netcash account.
The Netcash auto funds release service will allow a remote system to instruct the Netcash account to relase the available balance in the Netcash account to the bank account associated with such account.
The check limit service allows a remote system the ability to establish the line and batch limits set on a specific Netcash account.
The Netcash get available balance service will allow a remote system to query the Netcash account and obtain the available balance in the Netcash account.
GetPublicRecipients is a web service method allowing an external system to Request Public Recipients for creditor payments.
Inter account transfer (AccountFundsTransfer) is a web service that allows a remote system to transfer funds between a group of accounts that belong to the same primary account
The Netcash account transfer service allows for the transfer of available funds between two Netcash accounts.
The retrieve batch status service allows a remote system the ability to view the status of the last ten (10) batches processed on the Netcash Account.
Also see
The check limit service allows a remote system the ability to establish an available action date for a particular service.
The check limit service allows a remote system the ability to establish an available presentation date for a particular service.
Here you will find a list of all the unpaid codes with their respective descriptions.
We have published a list of all the web service response codes here