Solutions

Enterprise payment solutions for
different operating models

GoosunPay aligns payment acceptance, transaction operations, ledger visibility and settlement workflows with your business model, geography, currency mix and compliance requirements.

We assess your business model, operating regions, currency structure and compliance requirements before activation

Cross-border payments

Multi-currency acceptance and cross-border order operations

Multi-currency acceptance, multi-channel access, real-time order status, refund callbacks and scheduled settlement for DTC sites, overseas storefronts and cross-border service businesses.

Use cases

Multi-currency acceptance
Multi-channel access
Refund management
Order tracking
SaaS subscriptions

Subscription billing and customer lifecycle management

Recurring debit, subscription plan management, failed-payment retries, billing synchronization and revenue reconciliation for SaaS tools, membership services and content subscriptions.

Use cases

Subscription plans
Auto-renewal
Billing management
Failed retries
Digital services

Payment flows for digital goods, virtual services and online fulfilment

Online acceptance, instant status feedback, refund handling and fulfilment triggers for digital downloads, virtual services, online courses and software services.

Use cases

Online acceptance
Status feedback
Refund handling
Payment callbacks
Platform operations

Enterprise wallets, sub-merchant management and multi-party settlement

Enterprise wallet, sub-merchant onboarding, split rules, fund attribution tracking and multi-party settlement for marketplaces, multi-tenant platforms and aggregated commerce.

Use cases

Wallet management
Split configuration
Fund traceability
Risk tiers
B2B acceptance

Large transactions, manual review and custom billing cycles

Support for larger transactions, manual review, custom billing cycles and reconciliation reporting for enterprise services, wholesale trade and contract-based collections.

Use cases

Large-amount support
Manual review
Custom cycles
Reconciliation reports

Need a more tailored
payment operating model?

Contact our sales consultants for an integration assessment based on your business model, transaction profile, risk requirements and settlement needs.

We usually reply by email within one business day