Retrieves all valid underwriting account status codes and labels. These statuses indicate the current state of a merchant's underwriting process, such as approved, pending, or declined. Understanding these statuses helps in managing merchant accounts effectively and ensuring compliance with underwriting policies. This endpoint is essential for systems that need to display or process underwriting status information accurately.
Merchant Management API
Get Underwriting Status Values
Get Davo Level Values
Get valid Davo level values. These levels indicate the type of Davo services a merchant is subscribed to, such as basic or premium plans. Understanding these levels helps in managing and tailoring services for merchants based on their Davo subscriptions.
Get EPX Itemized Billing Values
Retrieves all valid values for EPX itemized billing. These values define the billing methods available for merchants using EPX services, allowing them to choose the most suitable option for their business needs. Understanding these billing options helps merchants manage their finances effectively and optimize their payment processing strategies.
Get Loyalty Program Level Values
Get loyalty program level values. These levels indicate the tier of loyalty program a merchant is enrolled in, which can affect the benefits and rewards they receive. Understanding these levels helps merchants choose the right loyalty program to enhance customer retention and engagement.
Get Merchant Portal Program Level Values
Get merchant portal program level values. These levels define the access and features available to merchants through the merchant portal, such as premium access with additional tools and resources. Understanding these levels helps in selecting the appropriate portal access based on business needs.
Get Window Discount Values
Retrieves a list of all possible values and their descriptions for the window discount setting. These values indicate how frequently a merchant's settlement window occurs, such as daily or monthly. This information is useful for understanding the timing of fund settlements to the merchant's account.