Ingenico settlements into Asperion, matched to payouts and fees
Use Aqqo to connect Ingenico and Asperion so settlements, payouts, fees, and chargebacks are booked in a clear structure. Aqqo turns settlement reports into journals, supports clearing accounts, and keeps payout timing visible. This helps your team reconcile faster and spot mismatches before month end.
Aqqo creates the payment request from the correct process; Ingenico handles the transaction. Aqqo then processes the available status for the corresponding booking, order or invoice.
Aqqo converts the available financial data into the agreed XML format. You then import the file into Asperion at a time that suits your process. This means you opt for a clear file transfer instead of continuous synchronization.
Advantages
- Keep visibility on timing differences between sale and payout
- Separate fees, refunds, and chargebacks into dedicated lines
- Keep settlement references available for audits and support tickets
- Spot payout mismatches faster with structured settlement journals
For who
- teams handling high transaction volume across payment methods
- finance teams that need visibility on settlement timing
- controllers who want consistent clearing account workflows