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  • :#Returns all payments (see [[Freeside:3:Documentation:Developer/FS/cust pay|FS::cust_pay]]) for this invoice. ...ayment applications (see [[Freeside:3:Documentation:Developer/FS/cust bill pay|FS::cust_bill_pay]]) for this invoice.
    21 KB (2,989 words) - 10:29, 21 July 2015
  • ...t bill|FS::cust_bill]] or [[Freeside:3:Documentation:Developer/FS/cust pay batch|FS::cust_pay_batch]]) for this completed invoice event.
    4 KB (530 words) - 10:58, 10 April 2015
  • ...cust_credit]]), payments (see [[Freeside:3:Documentation:Developer/FS/cust pay|FS::cust_pay]]) or refunds (see [[Freeside:3:Documentation:Developer/FS/cus ...ng credit card batch (see [[Freeside:3:Documentation:Developer/FS/cust pay batch|FS::cust_pay_batch]]), or, if the '''realtime''' option is set to a true va
    46 KB (6,835 words) - 07:16, 28 September 2015
  • :obsolete text field for tracking card processing or other batch grouping ...ch this payment came from (see [[Freeside:3:Documentation:Developer/FS/pay batch|FS::pay_batch]]), or null if it was processed through a realtime gateway or
    8 KB (1,258 words) - 07:17, 28 September 2015
  • FS::cust_pay_batch - Object methods for batch cards ...um - primary key (automatically assigned); batchnum - indentifies group in batch; payby - CARD/CHEK/LECB/BILL/COMP; payinfo; exp - card expiration; amount;
    4 KB (659 words) - 07:17, 28 September 2015
  • :Payment number ([[Freeside:3:Documentation:Developer/FS/cust pay|FS::cust_pay]]) of the completed payment. ...e or the back-office web interface, rather than from an event or a payment batch). "Manual" payments will cause the customer to be sent a payment receipt ra
    5 KB (709 words) - 10:59, 10 April 2015
  • An FS::pay_batch object represents an payment batch. FS::pay_batch inherits from FS::Record. The following fields are currently ...ownloaded; upload - time when the batch was first uploaded; title - unique batch identifier
    6 KB (910 words) - 07:22, 28 September 2015
  • :Schedules realtime / batch credit card / electronic check / LEC billing events for for retry. Useful i ...ay]]) unapplied payments (see [[Freeside:3:Documentation:Developer/FS/cust pay|FS::cust_pay]]) to outstanding invoice balances in chronological order. Pay
    15 KB (2,309 words) - 10:41, 21 July 2015
  • freeside-eftca-download - Retrieve payment batch responses from EFT Canada. [[Freeside:3:Documentation:Developer/FS/pay batch|FS::pay_batch]]
    678 bytes (93 words) - 21:11, 27 June 2012
  • freeside-eftca-upload - Transmit a payment batch to EFT Canada via SFTP. Command line tool to upload a payment batch to the EFT Canada gateway. The batch will be exported to a comma-delimited file and transmitted via SFTP. Use [[
    676 bytes (91 words) - 21:11, 27 June 2012
  • freeside-paymentech-download - Retrieve payment batch responses from Chase Paymentech. ...e contents, and passes them to [[Freeside:3:Documentation:Developer/FS/pay batch/import result|FS::pay_batch::import_result]].
    727 bytes (99 words) - 21:12, 27 June 2012
  • freeside-paymentech-upload - Transmit a payment batch to Chase Paymentech via SFTP. ...d line tool to upload a payment batch to the Chase Paymentech gateway. The batch will be exported to the Paymentech XML format, packaged in a ZIP file, and
    867 bytes (130 words) - 21:12, 27 June 2012
  • ...de:3:Documentation:Developer/FS/cust main/Import|FS::cust_main::Import]] - Batch customer importing ...:Documentation:Developer/FS/cdr batch|FS::cdr_batch]] - Call Detail Record batch class
    29 KB (4,097 words) - 10:56, 10 April 2015
  • * Multiple check payments can also be entered in a batch under Tools -> Quick Payment Entry. * Customers may use the self-service interface to pay by credit card or electronic check themselves.
    20 KB (3,197 words) - 12:07, 3 June 2013
  • * Multiple check payments can also be entered in a batch under Tools -> Quick Payment Entry. * Customers may use the self-service interface to pay by credit card or electronic check themselves.
    14 KB (2,054 words) - 23:59, 16 May 2019
  • ...de:4:Documentation:Developer/FS/cust main/Import|FS::cust_main::Import]] - Batch customer importing ...:Documentation:Developer/FS/cdr batch|FS::cdr_batch]] - Call Detail Record batch class
    33 KB (4,487 words) - 08:16, 18 November 2015
  • ...ng credit card batch (see [[Freeside:3:Documentation:Developer/FS/cust pay batch|FS::cust_pay_batch]]), or, if the '''realtime''' option is set to a true va :'''realtime''': runs this as a realtime payment instead of adding it to a batch. Deprecated.
    2 KB (244 words) - 07:39, 24 March 2015
  • freeside-rbc-download - Retrieve payment batch responses from RBC. Command line tool to download payment batch responses from the Royal Bank of Canada ACH service. These files are fixed-
    1 KB (180 words) - 07:38, 28 September 2015
  • freeside-rbc-upload - Transmit a payment batch to RBC via FTP/TLS. Command line tool to upload a payment batch to the Royal Bank of Canada ACH service. Use [[Freeside:3:Documentation:Dev
    698 bytes (100 words) - 07:38, 28 September 2015
  • ...ayment applications (see [[Freeside:4:Documentation:Developer/FS/cust bill pay|FS::cust_bill_pay]]) for this invoice. ...ayment applications (see [[Freeside:4:Documentation:Developer/FS/cust bill pay|FS::cust_bill_pay]]) for this invoice applied against the matching pkgnum.
    21 KB (2,937 words) - 08:19, 18 November 2015

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