What features does Easy Split provide?
What features does Easy Split provide?
- Faster settlement to your vendors (T + 2 settlement cycle)
- Unburden yourself from opening & managing a Nodal account
- Route payment from each order to vendors easily
- Individual commissions, simplify taxes & much more
- Make on-demand adjustments (refunds/bonus) to vendor payouts
- Works for non-PG or Cash on delivery orders as well
- Access vendor ledger wherever you need using our APIs or our dashboard
Why should I consider Easy Split?
Why should I consider Easy Split?
- Onboard, manage, and pay vendors with ease.
- Split payments and handle refunds at the order level.
- Track settlements, refunds, and earnings through detailed reports.
- Simplify Settlements: Save your Finance team time with fewer banking tasks.
- Streamline Accounting: Accept only your earnings, making tax computation easier.
- Clear Ledger Insights: Access historical credits, debits, and earnings per order, vendor, or month.
- Onboard and support international merchants seamlessly.
- Automate payouts to their home bank accounts with a standard T+2 payment cycle.
Handling PG Refunds in Easy Split
Handling PG Refunds in Easy Split
How many hours do I have to spend every day to manage settlements?
How many hours do I have to spend every day to manage settlements?
How can we add vendors at the platform for Settlement?
How can we add vendors at the platform for Settlement?
What are the charges involved for Vendor payouts? Are these debited from the merchant's nodal account?
What are the charges involved for Vendor payouts? Are these debited from the merchant's nodal account?
What are the different possible states a transaction goes through once it’s been added against a Vendor?
What are the different possible states a transaction goes through once it’s been added against a Vendor?
- SUCCESS
- FAILURE
- IN PROGRESS Read more
How is the invoice presented to the merchant for the charges incurred for the payout?
How is the invoice presented to the merchant for the charges incurred for the payout?
How many settlements do vendors receive per day?
How many settlements do vendors receive per day?
What is the Transfers option under the Vendor menu?
What is the Transfers option under the Vendor menu?
What exactly is Easy Split?
What exactly is Easy Split?
- Onboard, manage and disburse payments to vendors
- Perform splits at order level and manage refunds from vendors smoothly
- Track all transactions through detailed reports covering:
- Settlements
- Refunds Click the link to know more
How is vendor settlement managed when there are multiple vendors linked to one transaction?
How is vendor settlement managed when there are multiple vendors linked to one transaction?
How to add vendors in Easy Split?
How to add vendors in Easy Split?
What are the different use cases of Easy Split?
What are the different use cases of Easy Split?
- EdTech Platforms – Collect student payments and distribute funds to instructors after deducting charges.
- Franchise & Multi-Branch Outlets – Centrally manage payments and route funds to individual branches or stores.
- Investment & Insurance Marketplaces – Settle 100% of the order amount to AMCs or insurers with same-day reconciliation.
- Educational Institutes – Automate payment splits for tuition, hostel, stationery, and other fees.
- On-Demand Services – Seamlessly split payments for cabs, flights, food delivery, and more.
What are the top features of Easy Split?
What are the top features of Easy Split?
- Add/Update Vendor: You can add or update your vendor details by providing basic information about the vendor and their account details.
- Split after payment success: This feature allows to initiation of split after successful confirmation of payment by the customer.
- Transfer Vendor Balance: You can initiate manual Credit/Debit of a configured vendor-configured settlement account.
- Refund before split: If the refund is initiated before the vendor split is shared, Cashfree Payments directly refunds the money to the customer payment instrument in the next settlement.
- Refund after split: If the refund is initiated after the vendor split is shared - The refund will be done from your & vendor’s settlement account according to the respective transaction split created.
- Deferred Settlement: This API allows you to assign a settlement eligibility date for an order and vendor combination. For more information, refer here.
Can I edit vendor details once added in Easy Split?
Can I edit vendor details once added in Easy Split?
- Go to Payment Gateway Dashboard > Easy Split - Vendor.
- Click the ellipsis icon on the vendor you want to make changes to and select Edit Vendor.
- Vendor phone number
- Vendor email ID
- Settlement cycle
- Dashboard access
- Account holder name
- Account number
- IFSC code
- UPI VPA
- Verify account details option
- Vendor type
- Business type
- Documents (Based on the vendor type and business type of your vendors)
- Click the ellipsis icon on the vendor you want to delete.
- Select Delete Vendor.
- Click Delete in the pop-up window.
Can I upload multiple vendors at once in Easy Split?
Can I upload multiple vendors at once in Easy Split?
- Go to Payment Gateway Dashboard > EasySplit - Vendor and click Upload File.
- Click Choose a file to select the file you want to upload, and then click Upload.
- The maximum file size allowed is 8 MB, and a maximum of 50 records can be included in the file.
- The file must be in the suggested format. If there are errors in the uploaded file, resolve all errors and upload the file again.
How does split payments work?
How does split payments work?
What are the different types of vendor settlements I can choose from?
What are the different types of vendor settlements I can choose from?
Can I delay my settlements to vendors?
Can I delay my settlements to vendors?
What are the different reports I have to track vendor payments?
What are the different reports I have to track vendor payments?
How do refunds get handled?
How do refunds get handled?
What reports are available to track vendor payments?
What reports are available to track vendor payments?
Report Type | Description |
---|---|
Vendor Recon Report | Reconcile vendor transactions and payments |
Transaction Summary Report | View an overview of all transactions |
Refunds Report | Track refund statuses and adjustments |
Vendor Split Settlement Report | Monitor vendor settlement details |
How can I delay settlements to vendors?
How can I delay settlements to vendors?
Delay Type | Description |
---|---|
Order-Level Delay | Set delay for individual transactions |
Vendor-Level Delay | Set delay for specific vendors |
What are the different types of vendor settlements?
What are the different types of vendor settlements?
Settlement Type | Description |
---|---|
Instant Settlement | Funds transferred immediately |
Standard Settlement | Funds transferred on a scheduled cycle |
On-Demand Settlement | Funds transferred manually |
How can I add multiple vendors at once?
How can I add multiple vendors at once?
- Download the sample file
- Enter vendor details in the specified format
- Upload the completed file
Can I edit vendor details after adding them?
Can I edit vendor details after adding them?
Edit Method | Access Path |
---|---|
Dashboard | Payment Gateway Dashboard > Easy Split - Vendor > Edit Vendor |
API | Use the Update Merchant Details API |
What are the key use cases for Easy Split?
What are the key use cases for Easy Split?
Use Case | Description |
---|---|
Marketplace Aggregators | Split payments with multiple product vendors |
EdTech Platforms | Share fees with instructors or educators |
Franchise & Multi-Branch | Route payments to individual stores or locations |
Investment/Insurance Marketplace | Same-day settlement to AMC/insurer accounts |
Educational Institutes | Allocate student payments across departments |
E-Commerce | Manage sellers within a single order |
Online Appointments | Share earnings with service providers |
What are the vendor limits per transaction?
What are the vendor limits per transaction?
How are refunds handled?
How are refunds handled?
- Deducted from the merchant’s next settlement
- Adjusted from vendor commissions if configured
- Applied only to vendors who received the original settlement
How can vendors be added to Easy Split?
How can vendors be added to Easy Split?
Method | Description |
---|---|
Manual | Add vendors from the dashboard |
API | Use the Create Vendor API for automation |
How many settlements do vendors receive daily?
How many settlements do vendors receive daily?
- Includes all unsettled transactions
- Bank reference number provided for each payout
- Share the reference number with vendors for tracking