


Payout System Management
Seamlessly set up, organise, and manage all payout methods within the B2CORE Back Office. This system ensures an efficient and transparent process for handling client fund withdrawals.
Key Features

Payout Methods
Gain full control with a clear list of configured payout methods.
Priority: Set how methods appear to clients in the UI.
Caption & Name: Define Back Office and client-facing labels.
Group: Classify by type.
Provider: Assign linked payment providers.
Currency Support: Enable multi-currency options.
Status: Activate or deactivate methods as needed.

Payout Methods
Gain full control with a clear list of configured payout methods.
Priority: Set how methods appear to clients in the UI.
Caption & Name: Define Back Office and client-facing labels.
Group: Classify by type.
Provider: Assign linked payment providers.
Currency Support: Enable multi-currency options.
Status: Activate or deactivate methods as needed.

Payout Methods
Gain full control with a clear list of configured payout methods.
Priority: Set how methods appear to clients in the UI.
Caption & Name: Define Back Office and client-facing labels.
Group: Classify by type.
Provider: Assign linked payment providers.
Currency Support: Enable multi-currency options.
Status: Activate or deactivate methods as needed.

Detailed Method Management
Customise each payout method through several tabs.
Settings Tab: Change names, icons, groups, and priorities. Configure provider settings and add custom fields or rate providers.
TR Currencies: Manage supported transaction currencies.
PS Currencies: Align method currencies with provider support.
Commissions: Set TR and PSP commissions by type and currency.

Detailed Method Management
Customise each payout method through several tabs.
Settings Tab: Change names, icons, groups, and priorities. Configure provider settings and add custom fields or rate providers.
TR Currencies: Manage supported transaction currencies.
PS Currencies: Align method currencies with provider support.
Commissions: Set TR and PSP commissions by type and currency.

Detailed Method Management
Customise each payout method through several tabs.
Settings Tab: Change names, icons, groups, and priorities. Configure provider settings and add custom fields or rate providers.
TR Currencies: Manage supported transaction currencies.
PS Currencies: Align method currencies with provider support.
Commissions: Set TR and PSP commissions by type and currency.

Payout Groups
Streamline operations with method grouping.
Name & Description: Identify each group clearly.
Priority Index: Decide display order of groups.
Type: Define as crypto or fiat.
Status: Enable or disable groups in bulk.

Payout Groups
Streamline operations with method grouping.
Name & Description: Identify each group clearly.
Priority Index: Decide display order of groups.
Type: Define as crypto or fiat.
Status: Enable or disable groups in bulk.

Payout Groups
Streamline operations with method grouping.
Name & Description: Identify each group clearly.
Priority Index: Decide display order of groups.
Type: Define as crypto or fiat.
Status: Enable or disable groups in bulk.
Why Choose B2CORE for Payout Management?
Why Choose B2CORE for Payout Management?


01
Customisable Configuration
Tailor each payout method to match your business requirements.
02
Enhanced Security
Leverage IP whitelists and credential validation for secure operations.
03
Client-Friendly UI
Provide clear payout options with icons, descriptions, and prioritized listings.


04
Operational Efficiency
Organise methods into manageable groups for streamlined workflows.
Frequently Asked Questions
Find answers to the most common questions about our products and services.
What is a Forex CRM?
A CRM (Customer Relationship Management) software stores all client activities, details, and information, as well as business aspects like requests, settlements, and wallet management. It is the heart of a brokerage firm and a vital tool to monitor and manage user and platform interactions in one comprehensive interface.
How Does a Forex CRM Work?
What Type of CRM Do Forex Companies Use?
Why Do Companies Need a Forex CRM?
How to Choose the Right CRM for Financial Services
How Does a Forex CRM Work with Emails?
What is a Forex CRM?
A CRM (Customer Relationship Management) software stores all client activities, details, and information, as well as business aspects like requests, settlements, and wallet management. It is the heart of a brokerage firm and a vital tool to monitor and manage user and platform interactions in one comprehensive interface.
How Does a Forex CRM Work?
What Type of CRM Do Forex Companies Use?
Why Do Companies Need a Forex CRM?
How to Choose the Right CRM for Financial Services
How Does a Forex CRM Work with Emails?
What is a Forex CRM?
A CRM (Customer Relationship Management) software stores all client activities, details, and information, as well as business aspects like requests, settlements, and wallet management. It is the heart of a brokerage firm and a vital tool to monitor and manage user and platform interactions in one comprehensive interface.
How Does a Forex CRM Work?
What Type of CRM Do Forex Companies Use?
Why Do Companies Need a Forex CRM?
How to Choose the Right CRM for Financial Services
How Does a Forex CRM Work with Emails?

Simplify Your Payout Management Today
Ensure seamless and accurate client withdrawals with B2CORE’s comprehensive payout system.

Simplify Your Payout Management Today
Ensure seamless and accurate client withdrawals with B2CORE’s comprehensive payout system.
B2CORE
All-in-one CRM that caters to your growing business needs.
Back Office
Solutions
B2CORE
© 2025 B2BROKER
Website developed by wsa.design
B2CORE
All-in-one CRM that caters to your growing business needs.
Back Office
Solutions
B2CORE
© 2025 B2BROKER
Website developed by wsa.design
B2CORE
All-in-one CRM that caters to your growing business needs.
Back Office
Solutions
B2CORE
© 2025 B2BROKER
Website developed by wsa.design