Operations overview
Live data · refreshes every 30 seconds
From order monitoring and risk review to ledger queries, settlement statements and reconciliation exports, GoosunPay Console gives operations, finance and engineering teams a single source of truth.
Production accounts are provisioned after business review; demo access is for feature evaluation only.
Merchants can monitor balances, fund flows, settlement statements and reconciliation reports, while managing refunds, risk reviews, API keys and role-based access from one governed console.
The workspace is organized around real operating responsibilities: merchants, orders, channels, risk, finance, reporting, developers and administration.
Real-time visibility into volume, orders, success rate and pending risk reviews.
Merchant profiles, review queues, grouping and lifecycle management.
Order search, transaction details, exception handling and status synchronization.
Channel configuration, routing rules and availability monitoring.
Product setup, payment methods, pricing plans and subscription configuration.
Balances, fund flows, settlement statements and reconciliation reports.
Risk queues, rule configuration, allow/block lists and review events.
Transaction, channel, merchant and settlement reports for management review.
API keys, webhook configuration, event logs and integration documentation.
Administrators, role permissions, audit logs and account security.
System health, alerts, task queues and service availability indicators.
Capabilities evolve with real operational requirements and enterprise onboarding needs.
Live data · refreshes every 30 seconds
* Interface shown for product overview. Final functionality depends on the account configuration enabled after onboarding.
Production access is opened through sales review. Demo access can be used to evaluate workflow coverage and operating fit.
Console demo requires Basic Auth · credentials are provided by the sales team