Wallet & ledger
Holds, top-ups, debit timing, and ledger export for finance - not rate cards.
Resolving Timing Gaps Between Hold Expiration and Ledger Settlement
Learn how to reconcile unreleased platform authorizations when delivery status webhooks arrive after hold TTLs in your white-label CPaaS ledger.
Reconciling Stuck Prepaid Holds After Upstream Outages
Step-by-step playbook for auditing and releasing lingering prepaid system holds across all billing channels following platform network incidents.
Detecting Wallet Spend Velocity Anomalies Before Balance Exhaustion
Learn how IOSOR detects abnormal prepaid spend velocity, halts anomalous automated outbound traffic instantly, and protects funds from sudden drainage.
Managing Chargeback Disputes and Account Balance Freeze Protocols
Isolate disputed balances, manage prepaid holds, and safeguard platform revenue without disrupting legitimate messaging and voice channels.
Handling Wire Transfer Deposit Delays with Temporary Credit Buffers
Configure temporary credit buffers and automated monitoring for enterprise wire transfers to prevent traffic interruptions during banking settlement delays.
Tracking Manual Wallet Adjustments and Internal Credit Grant Audits
Maintain an auditable trail for support credits, manual wallet top-ups, and adjustment rows in your white-label CPaaS ledger.
Managing Concurrent Prepaid Hold Limits During High-Burst Send Events
Control concurrent prepaid holds and wallet reserves during high-burst OTP campaigns to prevent ledger exhaustion and service drops.
Reconciling and Settling Remaining Wallet Balances During Offboarding
Execute clean financial offboarding by auditing residual holds, pending debits, and final refunds under prepaid CPaaS rules.
Allocating Prepaid Balances and Hard Spending Caps Across Sub-Accounts
Configure multi-tenant prepaid wallets, distribute master funds, set hard spending caps, and maintain strict financial isolation across sub-accounts.
Reconciling Multi-Currency Prepaid Wallets Across International Traffic
Master multi-currency wallet ledger reconciliation in white-label prepaid CPaaS operations. Audit exchange rates and foreign currency debits.