Difference between revisions of "WebBilling"

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{{Test Billers Disclaimer}}
 
{{Test Billers Disclaimer}}
  
== Setup on WebBilling's Website ==
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== Setting Up on WebBilling's Website ==
Register for a [http://webbilling.com/ WebBilling account].  While
 
setting up your account, record your Merchant ID and Merchant Password.
 
  
== Setup WebBilling in NATS ==
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Before you can begin configuring WebBilling as a [[Ct#Biller|biller]] in [[NATS3]], you must first register a merchant account with them. This can be done through their website at http://www.webbilling.com/.
Note: WebBilling bills surfers in Euros.  If your default [[NATS]] currency
 
is U.S. dollars, you must [[Geo-Target_Join_Options#Multiple_Currency_Setup|setup multiple currencies]].
 
  
Go to the [[Billers Admin]], select WebBilling from the Biller
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While registering with WebBilling, make sure to take down the Merchant ID and Merchant Password that they provide for you. This information will be necessary for setting up WebBilling in [[NATS3]].
drop-down, and click Add.  Enter your Merchant ID and Merchant
 
Password. Please contact WebBilling if you didn't get an ID or
 
password.
 
  
Go to the [[Sites Admin]] and edit the [[ct#Site|sites]] you want to use with
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== Setting Up WebBilling in NATS ==
WebBilling.  On the edit page, go to the Biller Details section, find
 
the WebBilling section, and fill in any optional settings you want to
 
use.
 
  
Still in the Sites Admin, edit an existing join option or scroll down to the [[Add New Join Option]] section, find
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'''Note: If you are on a version prior to 3.1.64.1 WebBilling bills surfers in Euros.'''
the WebBilling Screen Description and WebBilling Bank Statement
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Description items. Fill out either to override WebBilling's defaults.
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'''If your default [[NATS]] currency is U.S. dollars, you must [[Geo-Target_Join_Options#Multiple_Currency_Setup|setup multiple currencies]].'''
Fill out the rest of the [[Join Options|join options]] and click Add
+
 
This Join Option.
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'''If you are on a version after 3.1.64.1 WebBilling will bill the surfer in their local currency.'''
 +
 
 +
=== Billers Admin ===
 +
 
 +
To begin setting up WebBilling as a [[Ct#Biller|biller]] in [[NATS]], go to the [[NATS3 Billers|Billers Admin]]. Scroll down to the "Biller" drop-down menu, select WebBilling, and click "Add."
 +
 
 +
'''Note:''' If you don't see WebBilling, [https://clients.toomuchmedia.com put in a support ticket], as you may need an updated version of [[NATS]].
 +
 
 +
When prompted, fill out your transaction and [[Ct#Chargeback|chargeback]] fees, along with when you wish to deduct them. Fill in the Merchant ID and Merchant Password that were provided to you by WebBilling under the "Account Info" section. If you were not provided with this information, please contact your [[Ct#Biller|biller]] to receive it.
 +
 
 +
=== Sites Admin ===
 +
 
 +
Next, go to the [[NATS3 Sites|Sites Admin]], create or edit a [[Ct#Site|site]], and scroll down to the "Biller Details" section. Find the "WebBilling" settings, and fill in any of the available optional settings you want to use. This includes Template ID, your Join Form Language/Background Color/Form Color/Anchor Color, and various additional parameters.
 +
 
 +
Once you have done that, scroll down to the "Join Options this Site Offers" section and create or edit a [[Ct#Join Option|join option]] to add WebBilling compatibility. Under "Biller Codes for this Join Option," fill out any of the provided optional WebBilling settings. This includes your default currency, screen/bank statement descriptions, and various optional Package IDs. Filling out any of the settings in this section overrides WebBilling's default settings to display your desired settings.
 +
 
 +
Click Save once you have filled out the available fields on this page. WebBilling should be ready and configured for basic use as a [[Ct#Biller|biller]] in [[NATS3]].
 +
 
 +
=== Cross Sells ===
 +
 
 +
WebBilling also supports [[Ct#Cross Sell|Cross Sell]] transactions through [[NATS]]. In order to process cross sale transactions, however, you will first have to set them up with your [[Ct#Biller|biller]]. Please contact WebBilling for assistance with this.
 +
 
 +
To set up [[Ct#Cross Sell|cross sells]] in [[NATS]], go to the [[Cross Sells Admin]] and click "Incoming" or "Outgoing" from the navigation tabs at the top of the page (depending on whether you are receiving or sending the cross sale).
 +
 
 +
If you are sending a [[Ct#Cross Sell|cross sell]] to another [[Ct#Site|site]], go to the "Outgoing" section. Choose WebBilling from the "Biller" drop-down menu and click Add. On the next page, you will be prompted to fill in the Title, Description, and Disclaimer for your cross sell option.
 +
 
 +
You will then need to fill out the [[Ct#Biller|Biller]] Info for your [[Ct#Cross Sell|cross sell]], which should be provided to you by WebBilling. Fill in your Xsell Package ID and Ref Code here, and click "Edit."
 +
 
 +
If you are receiving the [[Ct#Cross Sell|cross sell]], go to the "Incoming" section. Choose WebBilling from the [[Ct#Biller|Biller]] drop-down menu, and click Add. When prompted, choose the [[Ct#Site|site]] and [[Ct#Program|program]] you want to associate with the cross sale, and fill in the "Comment" field.
 +
 
 +
Under "Data," fill in the Package ID that you received when configuring [[Ct#Cross Sell|cross sells]] with NetBilling. Finally, fill in your desired [[Ct#Initial Bill|Initial]] Days (length of initial membership), [[Ct#Initial Bill|Initial]] Dollar (cost of initial membership), Recurring Days (length of recurring membership), and Recurring Dollar (cost of recurring membership). You can also choose if you want this [[Ct#Cross Sell|cross sell]] to be a [[Ct#Trial Sign-up|trial membership]].
  
 
== Localized Join Forms ==
 
== Localized Join Forms ==
The following instructions describe localizing your NATS
 
[[ct#Pre-Join Form|pre-join form]] to a surfer's language:
 
[[Geo-Target Join Options]]
 
  
WebBilling provided us with the following translations to use in
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The following instructions describe localizing your NATS [[ct#Pre-Join Form|pre-join form]] to a surfer's language: [[Geo-Target Join Options]]
localized [[Cascade|cascade]] descriptions:
+
 
 +
By using the Geo-Target Join Options available in [[NATS]], you can create a different [[Ct#Cascade|cascades]] to use for each country that you process transactions from -- this allows you to direct [[Ct#Surfer|surfers]] to a [[Ct#Pre-Join Form|pre-join form]] in their native language.
 +
 
 +
If you create multiple [[Ct#Cascade|cascades]] for multiple languages, you should make sure that you localize your [[Ct#Cascade|cascade]] descriptions as well. In order to start this process, WebBilling provided us with the following translations to use in localized [[Cascade|cascade]] descriptions:
  
 
* English: Direct Debit
 
* English: Direct Debit
Line 41: Line 61:
 
* Spain: "Cargo Bancario"
 
* Spain: "Cargo Bancario"
 
* Netherlands: "Automatische Inkasso"
 
* Netherlands: "Automatische Inkasso"
 +
 +
Filling in these descriptions helps to differentiate between different language [[Ct#Cascade|cascades]] for your [[Ct#Surfer|surfers]].
  
 
=== Alternate Method ===
 
=== Alternate Method ===
While the [[Geo-Target Join Options]] instructions let you display one
 
locale-specific locale option, you may find it simpler to display one
 
join options for each locale. Go to [[ct#Sites Admin|Sites Admin]], select a site, and
 
add four options. For each join option, choose WebBilling, enter the
 
join option settings, and use one of the above translations in the Join
 
Form Text. This displays one join option for each language.
 
  
Note: WebBilling suggests you make the German translation,
+
While the [[Geo-Target Join Options]] instructions let you display one locale-specific locale option, you may find it simpler to display one join options for each locale. Go to the [[NATS3 Sites|Sites Admin]], select a [[Ct#Site|site]], and add four options. For each join option, choose WebBilling, enter the join option settings, and use one of the above translations in the Join Form Text. This displays one join option for each language.
"Lastschrift," the first join option.
+
 
 +
Note: WebBilling suggests you make the German translation, "Lastschrift," the first join option.
  
 
[[Category:L10n]]
 
[[Category:L10n]]
[[Category:Not in NATS4 Yet]]
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[[Category:NATS3 Billers]]

Latest revision as of 13:33, 1 June 2011

NATS 3
  Biller Instructions
NATS3 Biller List
123Bill
365Billing
2000Charge
Aconti Payment Service
Allopass
Ampay
Argus
Authorize.net
Bill1st Gateway
Billing Line
BoaCompra
Card Gate Plus
CCBill
CCBill Direct Pay
CCBill Web900
Centrobill
ChargeMeLater
ClearCard
ClearCard IDV
Commerce Gate
CurePay
DHD Media
E-Pay Company
Edelweiss Card
EGatePay
ElectraCash
EMerchantPay (Interconsult)
EnterCharge
Epoch
EProcessingNetwork
EuroBill
EPGBill.com
FABILLING
Global Access
GTBill
GXBill
HeidelPay
HeidelPay Gateway
iBill
ICN Ltd.
Infinity Payment
Interconsult
Jettis
Jettis Gateway
Jettis International
Linkpoint
LocalBilling
Merchant Partners Gateway
Merchant Partners Membership
Merchant Solutions
MyVirtualCard
Netbilling
Netbilling Native
NetCash
Netpay International
NoCreditCard
Oakbill
Optimized Payment System
Password by Phone
Pay4
Paygea
Payment Network
Paysite Cash
PhoneAccess
Plug'n Pay
PPPCard
Probiller
Protx
Pure Vanilla
RocketGate
RocketGate Native
RSBilling
SafeCharge
Secure Billing World
SegPay
Sonic Bill
StandardBill
Streamate
Symmetrex
TrustCash
TrustCharge
txtNation
Ukash
Universal Processing
Verotel Pro
VXSBill
WebBilling
WebPay
WTS
WTSeu
YNOT Processing
Zombaio
Netbilling v3 Upgrade Instructions
Purchasing Tokens Through Netbilling
Streamate Biller versus Third-Party
Switching From Epoch to Epoch EU
Epoch Member Approval Plus
Multiple Biller Accounts

Please don't test your biller setup with WebBilling's test account—it won't work correctly.

Setting Up on WebBilling's Website

Before you can begin configuring WebBilling as a biller in NATS3, you must first register a merchant account with them. This can be done through their website at http://www.webbilling.com/.

While registering with WebBilling, make sure to take down the Merchant ID and Merchant Password that they provide for you. This information will be necessary for setting up WebBilling in NATS3.

Setting Up WebBilling in NATS

Note: If you are on a version prior to 3.1.64.1 WebBilling bills surfers in Euros.

If your default NATS currency is U.S. dollars, you must setup multiple currencies.

If you are on a version after 3.1.64.1 WebBilling will bill the surfer in their local currency.

Billers Admin

To begin setting up WebBilling as a biller in NATS, go to the Billers Admin. Scroll down to the "Biller" drop-down menu, select WebBilling, and click "Add."

Note: If you don't see WebBilling, put in a support ticket, as you may need an updated version of NATS.

When prompted, fill out your transaction and chargeback fees, along with when you wish to deduct them. Fill in the Merchant ID and Merchant Password that were provided to you by WebBilling under the "Account Info" section. If you were not provided with this information, please contact your biller to receive it.

Sites Admin

Next, go to the Sites Admin, create or edit a site, and scroll down to the "Biller Details" section. Find the "WebBilling" settings, and fill in any of the available optional settings you want to use. This includes Template ID, your Join Form Language/Background Color/Form Color/Anchor Color, and various additional parameters.

Once you have done that, scroll down to the "Join Options this Site Offers" section and create or edit a join option to add WebBilling compatibility. Under "Biller Codes for this Join Option," fill out any of the provided optional WebBilling settings. This includes your default currency, screen/bank statement descriptions, and various optional Package IDs. Filling out any of the settings in this section overrides WebBilling's default settings to display your desired settings.

Click Save once you have filled out the available fields on this page. WebBilling should be ready and configured for basic use as a biller in NATS3.

Cross Sells

WebBilling also supports Cross Sell transactions through NATS. In order to process cross sale transactions, however, you will first have to set them up with your biller. Please contact WebBilling for assistance with this.

To set up cross sells in NATS, go to the Cross Sells Admin and click "Incoming" or "Outgoing" from the navigation tabs at the top of the page (depending on whether you are receiving or sending the cross sale).

If you are sending a cross sell to another site, go to the "Outgoing" section. Choose WebBilling from the "Biller" drop-down menu and click Add. On the next page, you will be prompted to fill in the Title, Description, and Disclaimer for your cross sell option.

You will then need to fill out the Biller Info for your cross sell, which should be provided to you by WebBilling. Fill in your Xsell Package ID and Ref Code here, and click "Edit."

If you are receiving the cross sell, go to the "Incoming" section. Choose WebBilling from the Biller drop-down menu, and click Add. When prompted, choose the site and program you want to associate with the cross sale, and fill in the "Comment" field.

Under "Data," fill in the Package ID that you received when configuring cross sells with NetBilling. Finally, fill in your desired Initial Days (length of initial membership), Initial Dollar (cost of initial membership), Recurring Days (length of recurring membership), and Recurring Dollar (cost of recurring membership). You can also choose if you want this cross sell to be a trial membership.

Localized Join Forms

The following instructions describe localizing your NATS pre-join form to a surfer's language: Geo-Target Join Options

By using the Geo-Target Join Options available in NATS, you can create a different cascades to use for each country that you process transactions from -- this allows you to direct surfers to a pre-join form in their native language.

If you create multiple cascades for multiple languages, you should make sure that you localize your cascade descriptions as well. In order to start this process, WebBilling provided us with the following translations to use in localized cascade descriptions:

  • English: Direct Debit
  • German: "Lastschrift"
  • Spain: "Cargo Bancario"
  • Netherlands: "Automatische Inkasso"

Filling in these descriptions helps to differentiate between different language cascades for your surfers.

Alternate Method

While the Geo-Target Join Options instructions let you display one locale-specific locale option, you may find it simpler to display one join options for each locale. Go to the Sites Admin, select a site, and add four options. For each join option, choose WebBilling, enter the join option settings, and use one of the above translations in the Join Form Text. This displays one join option for each language.

Note: WebBilling suggests you make the German translation, "Lastschrift," the first join option.