Difference between revisions of "NATS4 WebBilling"

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Once you have filled out the appropriate biller codes on this page, click "Save" to save your new [[Ct#Join Option|join option]].
 
Once you have filled out the appropriate biller codes on this page, click "Save" to save your new [[Ct#Join Option|join option]].
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=== Cross Sales ===
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WebBilling also supports [[Ct#Cross Sell|Cross Sale]] transactions through [[NATS]]. In order to process cross sale transactions, however, you will first have to set them up with WebBilling. Please contact WebBilling for assistance with this.
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To set up cross sales in [[NATS]], go to the [[Upsells Admin]] and click incoming or outgoing cross sales from the navigation tabs (depending on whether you are sending or receiving the cross sale).
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If you are sending a cross sale to another [[Ct#Site|site]], go to the "Outgoing Cross Sales" section. Add WebBilling from the Biller drop-down menu, and click Add New Option. On the next page, you will be prompted to fill in the Title, Description, and Disclaimer for your cross sell option.
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You will then need to fill out the Biller Info for your cross sale, which should be provided to you by WebBilling. Fill in your Xsell Package ID and Ref Code here, and click Save Changes.
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If you are receiving the cross sale, go to the "Incoming Cross Sales" section. Add WebBilling from the Biller drop-down menu and click Add New Option. When prompted, choose the [[Ct#Site|site]] and [[Ct#Program|program]] you want to associate with the cross sale.
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Under "Details," fill in the title of your cross sale option, the initial membership fee and length, and the recurring membership fee and length. Finally fill in your Package ID in the "Biller Info" section and click Save Changes.
  
 
== Localized Join Forms ==
 
== Localized Join Forms ==

Revision as of 14:01, 13 June 2011

NATS 4
Members Admin
The Members Admin
View Member Details
Add Member
MySQL Auth
Mod Authn DB
Multisite Access
Member Logging
Member Password Retrieval
OpenID Connect
Mod Auth OpenIDC
ID Numbers
    Biller Instructions
NATS4 Biller List
2000Charge
2000Charge Gateway
2KCHARGE
A1Payments
Aebill
Aconti
Allopass
AltoBilling
Argus
Authorize.net
Bill1st Gateway
BillAPay Gateway
Billing Revolution
Billing United
Bit-Pay
BoaCompra
Braintree Payments
C2Bill
CardFlex
CCBill
CCBill Flexform
CCBill Web900
CashSend
CashtoCode
Centili
Centrobill
Clearcard
Clearcard IDV
Click and Buy
CoinGate
CoinPayments
CommerceGate
CurePay
DHD
DHDGateway
DIMOCO
EGatePay
ElectraCash
eMerchantPay Gateway
eMPPay.com
Epoch
Escalion
EuroBill
EPGBill.com
Ezic, Inc.
Focal Payments
FXBilling
FXBilling Native
Gateway tokens
Gigadat
Global Access
GlobalCharge
Global DPS
GoCoin
Greta 11 (G11Bill)
GTBill
GTBill GATEWAY
GXBill
ICN Ltd.
Itelebill
Jettis International
Jettis International Gateway
LocalBilling
MobiusPay
MerlinBill
NETbilling
NETbilling Native
NetCash
NetMobile
Netpay International
NoCreditCard
OrbitalPay
Password By Phone
Pay4
Pay900
Payment Network
Paygarden
Paygea
PayPal
Paysite Cash
Payspace
Payspace Gateway
Plug'n Pay
Prime Orange
Probiller
PumaPay
Rocketfuel
RocketGate
RocketGate Native
RSBilling
RSBilling Native
SafeCharge
SafeCharge Native
Secure Billing Worldwide
Secure Billing Worldwide Gateway
Secure Trading
SecurionPay
SegPay
SegPay Gateway
SOFORTdauerauftrag
Sonic Bill
StandardBill
TrustCharge
Telecom
UKash
Vendo Services
Vendo
Verotel Pro
Voxtel
VXSBill
WebBilling
Wispay
WTS
WTSeu
Zombaio
Shopping Cart Sales
Switching From Epoch to Epoch EU

Please don't test your biller setup with NATS4 WebBilling's test account—it won't work correctly.

Setup on WebBilling's Website

Before you can begin configuring WebBilling as a biller in NATS4, you must first register a merchant account with them. This can be done through their website at http://www.webbilling.com/.

While registering for 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 NATS.

Setup WebBilling in NATS

Note: WebBilling bills surfers in multiple currencies. You must setup multiple currencies in NATS4.

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 as a biller in NATS4, put in a support ticket, as you may need an updated version of NATS.

When prompted, 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 tour, and scroll down to the "Biller Details" section. Fill in any of the optional "WEBBILL" settings you wish to use, and click Save Changes.

Once you have done this, scroll down to the section labeled "Join Options for this Tour" and click the "Edit Option Details for this tour" icon that corresponds to the join option you wish to use. Use the "Biller Codes" section to fill in the WebBilling codes you wish to use.

WebBilling has the ability to bill in two ways.

  1. If you have the Package Group ID and Package ID from your WebBilling control panel, it will bill that amount.
  2. If you do not, it will take the initial, initial days, rebill, and rebill days from the join option and WebBilling will bill that amount.

When using the second option you also have the ability to select the Currency the member will be billed in.

If you would like to have all of the join options shown on WebBillings end then select the 'Show Package Select on WebBilling'. If you've selected or created a specific Business Case (bmid) from WebBilling for upgrades then fill in the Business Case option. If it is blank it will default to 2.

If you want to override the Screen Description or Bank Statement Description for WebBilling, fill in those optional fields as well. If you've selected a Cancel Package ID for this join option enter it in the join option as well.

Once you have filled out the appropriate biller codes on this page, click "Save" to save your new join option.

Cross Sales

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

To set up cross sales in NATS, go to the Upsells Admin and click incoming or outgoing cross sales from the navigation tabs (depending on whether you are sending or receiving the cross sale).

If you are sending a cross sale to another site, go to the "Outgoing Cross Sales" section. Add WebBilling from the Biller drop-down menu, and click Add New Option. 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 sale, which should be provided to you by WebBilling. Fill in your Xsell Package ID and Ref Code here, and click Save Changes.

If you are receiving the cross sale, go to the "Incoming Cross Sales" section. Add WebBilling from the Biller drop-down menu and click Add New Option. When prompted, choose the site and program you want to associate with the cross sale.

Under "Details," fill in the title of your cross sale option, the initial membership fee and length, and the recurring membership fee and length. Finally fill in your Package ID in the "Biller Info" section and click Save Changes.

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.