By Cryptopay

Cryptopay Account Management

Business crypto and fiat balances, bank withdrawals and finance reporting.

The offering

What Cryptopay Account Management does

Account Management provides a business view of its crypto and fiat funds and payment activity. Cryptopay describes external-wallet top-ups, enabled bank transfers, scheduled or balance-threshold bank withdrawals and transaction-history reporting. The job is administering operational funds, distinct from collecting a checkout payment or submitting a recipient payout batch.

Confirm the account holder, service entity, permitted third-party receipts and currencies in the agreement. The page names SEPA and Faster Payments as enabled bank-transfer options; these rails do not establish unrestricted entity eligibility or a player-money safeguarding design. An operator’s customer ledger, segregation duties and account-ownership controls need their own agreed arrangements.

Who should explore it?

Eligible gaming finance teams managing approved operational balances and bank reconciliation.

  • Track business crypto receipts and balances
  • Schedule approved treasury withdrawals to a bank account

Documented capabilities

  • Business crypto and fiat balances
  • External-wallet deposits
  • Enabled bank transfers
  • Scheduled or threshold bank withdrawals
  • Payment history and email reporting

Reported in the linked public sources. We have not independently tested these capabilities.

Product details

Operational funds
Administer the approved business’s fiat and crypto balances and payment history.Source
Enabled bank transfers
SEPA and Faster Payments are described; actual service/entity availability requires confirmation.Source
Finance records
Payment history with account access and report delivery by email.Source
Provider and location
Verified business, supported incorporation country and the agreement’s specific group entity.Source

Delivery & commercial details

Delivery & integration
Verified business account with dashboard access and the agreed transfer/withdrawal setup. Establish staff permissions and statement reconciliation.
Pricing
Request account, transfer, conversion and withdrawal charges for the selected service entity; confirm limits and reporting terms.

Confirm market availability, rights, service levels and contractual terms for your implementation. API availability alone does not establish a named integration.

Buyer questions, answered

Can bank withdrawals be scheduled?

The page describes withdrawals on a selected date or after a balance threshold is reached. Confirm enabled currency, destination account and applicable limits.

Source
Does the mention of SEPA imply availability to EEA entities?

No. The same current page excludes Richield offers to EEA persons/entities and explains that different services are provided by different group entities. Confirm the actual provider and permitted customer location.

Source