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What is Payment Gateway settlement?
A settlement in payment gateway refers to the process by which the payment made by a customer for a product/service, is credited to the merchant account.
What are the different types of settlements offered by Cashfree?
Standard Settlements
The standard settlement cycle in Cashfree is T+2 days, where T is the date of the transaction. For instance, if the transaction takes place on a Monday, the settlement will be credited to the merchant's account on Wednesday. The standard settlements happen only on bank working days.
Instant Settlements
The Instant Settlement cycle in Cashfree lets merchants get access to their funds in 15 mins! Merchants can make use of the settled funds for disbursals to vendors and other partners. These settlements are processed even on bank holidays!
How does a typical settlement cycle look like in Cashfree?
Customer enters the payment details in Cashfree’s checkout forms
The transaction is authenticated by the customer using OTP verification
The amount is received at Cashfree’s acquiring banks
Amount is credited in merchant's account in T+2 days after payment gateway deductions.
Cashfree Payments credits the merchant's accounts instantly after Payment Gateway deduction
Merchant receives money in T+2 days
Merchant receives the money instantly
How does a typical settlement cycle look like in Cashfree?
Customer enters the payment details in Cashfree’s checkout forms
The transaction is authenticated by the customer using OTP verification
The amount is received at Cashfree’s acquiring banks
Amount is credited in merchant’s account in T+2 days after payment gateway deductions.
Merchant receives money in T+2 days
Tracking settlements in Cashfree
Cashfree makes it easier for merchants to track all their settlements in a single place. The Summary gives a quick overview of the total recent settlements that have been processed, and the settlements tab lets the merchants keep track of the default and instant settlements.
Apply Filters: Customize your report for a specific time period and track the status of the settlements within the time period
Search by order ID:Find the settlement status for a particular order by entering the appropriate order ID
Track Status:Each entry will also hold the corresponding status of the settlements
How do you reconcile your settlements with the transactions?
The reports module in PG dashboard lets you download the settlements report on a daily or monthly basis, and reconcile them. Each settlement will contain the list of transactions that were included in the settlement cycle. Each entry will bear the following information with respect to the settlement:
Unique Transaction Reference number
This unique ID is used to identify each settlement.
Individual transaction date and time
List of transactions with their corresponding date and time.
Net settlement amount
The actual amount from the transaction that has been settled to the merchant’s bank account.
TDR charges
The payment gateway processing fee for the particular transaction.
Transaction amount
The amount for each transaction inside the settlement cycle.
Settlement date
The date on which these settlements have been made.
Adjustments in Settlement Report
The second part of the settlement report has the details of adjustments that were made in the particular settlement cycle. These adjustments also bear the EVENT of the adjustment, i.e, the type of adjustment that has happened in the settlement cycle.
FUND_SWEEP: A DEBIT entry which implies that the corresponding amount has been settled in the merchant’s settlement account.
SETTLEMENT_COMPUTE: A CREDIT entry which is a summation of all transactions that are considered for settlement in the given settlement cycle.
REFUND: A DEBIT entry that corresponds to the refund initiated by the merchant.
DISPUTE: A DEBIT entry for a dispute raised against a transaction.
RISK: A DEBIT entry for a transaction identified as a risk transaction.
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