Gamting Back-Office Settlement & Reconciliation for Prepaid Agent Programmes, Gamting back-office settlement and reconciliation for prepaid agent programmes
How It Works
Gamting enables partners to run prepaid agent programmes with predictable exposure: submit the application, undergo review within 1-2 business days, receive panel credentials and a marketing asset pack, load prepaid credit, configure hierarchy and exposure limits, onboard users via referral links and branded landing pages, then manage the entire downline through a centralized dashboard.
Start by completing the partner application with operational scope, jurisdictions, and basic KYC documentation. Our team verifies licensing, operational intent, and payment preferences. Within 1-2 business days, approved applicants receive secure panel access. The starter pack includes brand-ready banners, QR generator access, landing page templates, and messaging scripts tailored for regional acquisition channels and seasonality across cricket, football, tennis, and esports calendars.
Next, load prepaid credit using supported gateways or approved crypto rails, then allocate balances to teams in measured tranches. Set exposure limits per network segment, action daily credit top-ups, and configure price markups where applicable. Configure event categories, markets, and any responsible gambling parameters required by your jurisdiction. All settings are auditable, timestamped, and available to back-office leads for ongoing governance.
Onboarding scales via unique referral links, QR codes, and co-branded landing pages mapped to your hierarchy nodes. Traffic is routed to localized experiences while the panel tracks acquisition channel, source, and time-to-activation. Use the centralized dashboard for real-time analytics, prepaid credit management, and operational reconciliation. Alerts highlight threshold breaches, pending verifications, and low credit, enabling proactive interventions and smooth week-on-week continuity.
Who This Is For
This programme suits licensed operators expanding into new verticals or regions, prioritizing managed risk and financial transparency. It supports organizations that prefer prepaid credit over post-settlement reconciliations, reducing disputes and accelerating cash cycles. If your roadmap includes cross-border outreach with controlled exposure governance, Gamting's prepaid stack provides a scalable path without complex custom builds.
Regional bookmakers requiring structured infrastructure will value the single partner panel, unified reporting, and standardized settlement artifacts. Digital marketers and sports community leaders with active audiences can transition into agent-led acquisition models using branded landing pages, referral tracking, and QR distribution. Sub-agents growing downlines gain granular controls to prevent overextension while maintaining momentum during tournament spikes and regional peaks.
Partnership teams seeking measurable campaign attribution benefit from link-level reporting, source tagging, and configurable promo pages. Back-office leads get operational clarity: event ledgering, credit logs, audit trails, and exportable summaries for finance and compliance. Entrepreneurs entering iGaming through an agent route gain predictable exposure management, ecosystem-grade content breadth, and a support structure that accelerates early operations without heavy engineering investment.
Organizations evaluating a white-label sportsbook can consider Gamting's prepaid-credit agent alternative when they need faster deployment, flexible hierarchy controls, and a smaller compliance surface. The platform integrates Sportsbook, Exchange, and Casino modules under a single panel, enabling teams to align KPIs with acquisition channels and seasonal events. The result is sustainable scaling, with clear roles, measured balances, and reliable settlement documentation.
Benefits
Partners adopt a prepaid model with zero chargebacks and predictable exposure, eliminating prolonged post-cycle reconciliations. Financial transparency extends to wholesale-retail pricing configurations, adjustable by node where permitted. The central panel aligns pricing, exposure, and balance allocations so operational decisions map to real-time data. This synchrony materially reduces back-office overhead tied to manual corrections or late settlement disputes.
Marketing enablement is built in: QR generator for offline capture, referral links for digital tracking, branded landing pages for conversion, banner packs for quick deployment, and push templates for seasonal messaging. These tools streamline channel testing and attribution, letting teams refine creative while operational leaders track cohort behavior, activation velocity, and day-seven stickiness across markets and event categories.
Analytics are real-time, with dashboards exposing balance health, exposure by segment, velocity of top-ups, and downline activity. Alerts signal low balances, suspicious patterns, or configuration anomalies. Because credit is prepaid, teams avoid misalignment between operational exposure and cash on hand, simplifying end-of-week reviews and enabling faster, cleaner ledger reconciliation across departments and regions.
There are no hidden fees or setup costs; support is continuous. The platform emphasizes documentation richness, downloadable statements, audit trails, and exportable reports, so finance and compliance teams can close periods confidently. When combined with 24/7 partner support, teams can sustain uninterrupted operations through peak calendars. The approach reduces unplanned downtime, eliminates opaque cash positions, and strengthens governance across the entire network.
Product Stack
Gamting's single partner panel unifies multiple products: a Sportsbook covering 50+ sports including IPL cricket, EPL football, NBA basketball, ATP tennis, PKL kabaddi, virtual sports, and motorsports like F1 and MotoGP; a Live Exchange for back/lay markets; 2,000+ Casino titles from 15+ Tier-1 providers; and an Asian Sportsbook with handicap, over-under, 1X2, and quarter-line markets.
The breadth supports diverse regional preferences without requiring separate systems. Operators can program focused campaigns, route specific traffic to precise modules, and maintain exposure limits by node. Content breadth also assists with seasonality coverage, spreading acquisition efforts across overlapping calendars. Real-time reporting unifies performance views, strengthening decision-making for promotions and credit allocation based on current engagement patterns.
Back-office users control content availability per hierarchy segment, enabling localized curation and compliance-aligned catalog presentation. The Live Exchange enhances depth for advanced market structures, while Casino content provides continuous engagement between sports cycles. The panel's policy layer lets leads restrict certain markets, enforce time windows, and implement configurable constraints where necessary for licensing or operational priorities.
| Option | Cashflow Timing | Dispute Risk | Operational Fit |
|---|
| Gamting Prepaid Agent Platform | Upfront credit load | Low | Rapid scaling with managed exposure |
| Traditional Post-Settlement Credit | After cycle close | Higher | Legacy setups needing deferred cash |
| White-label Alternative | Varies by provider | Medium | Standalone brand build; heavier operations |
| Direct PSP Integration | Real-time by PSP | Medium | In-house orchestration and compliance |
Teams can contrast prepaid-credit operations against legacy post-settlement flows or white-label alternatives. With prepaid, operational exposure is tightly coupled to funded balances, simplifying end-of-week reconciliation and accelerating month-close. Where teams are assessing direct PSP integrations, Gamting's approach removes orchestration complexity while retaining gateway diversity, which is crucial when operating across 14 countries with differing rules and norms.
Agent Hierarchy
Gamting supports a structured multi-level network with clear role separation, measured credit allocation, and per-level exposure control. Partners define who can allocate balances, modify markups (where enabled), and view financial performance. The centralized dashboard aggregates activity, enabling governance leaders to audit movements, detect anomalies, and validate that funded balances align with permitted exposure before campaigns scale further.
Downline growth is managed through referral links, co-branded landing pages, and QR capture to specific hierarchy nodes. Node-level controls allow credit tranches, throttled top-ups, and restrictions on sensitive market types. This ensures that promotional intensity never outpaces funded balances. Teams can pause allocations, reassign traffic, and apply spending windows to keep operations aligned with weekly and monthly targets.
Visibility is granular yet permissioned. Operational leads see credit movement histories, ledger exports, and audit trails while field teams access action-oriented views, balance status, threshold warnings, and activation activity. The separation ensures strategic oversight remains intact while execution remains agile. Status badges highlight nodes approaching exposure ceilings, prompting timely top-ups or temporary caps until additional prepaid credit is added.
Because no fixed tier naming is enforced, organizations mirror their real-world structures naturally. This flexibility reduces retraining and makes consolidation reporting simpler. Credit controls ensure that scaling the network does not produce disproportionate liabilities. Every allocation, transfer, and exposure change is timestamped, author-attributed, and exportable, supporting investigations, compliance checks, and end-of-cycle validations without operational friction or guesswork.
Payments & Settlement
Payments are multi-rail with 29+ gateways spanning fiat and crypto. Supported fiat methods include UPI, IMPS, NEFT, RTGS, Visa, Mastercard, Maestro, bank cards, and regional e-wallets. Crypto support covers USDT (TRC-20, ERC-20, BEP-20) and USDC across approved networks. Auto fiat-crypto conversion reduces operational handling, standardizes value attribution, and smooths multi-currency complexities across your operating footprint.
The prepaid model eliminates post-settlement disputes by aligning exposure to funded balances. Back-office settlement and reconciliation are streamlined with downloadable ledgers, daily balance snapshots, and movement logs. Partners can export statements for finance, set reconciliation cadences, and pull variance reports on demand. This design supports period closes with minimal adjustments, even during high-volume match cycles or promotional windows.
Per-region deposit and withdrawal rules ensure compliance with local norms while maintaining operational consistency. You can assign gateway preferences by geography, set minimum top-up thresholds, and require secondary approvals for specific movements. Alerts trigger when balances approach operational minima, prompting timely replenishment. Combined with audit trails, these controls create financial transparency that withstands internal and external reviews.
Gamting's back-office settlement and reconciliation for prepaid agent programmes provides predictable cash management, clear auditability, and expedited month-end closing. Ledger exports include hash references, user attribution, timestamps, and amounts, ensuring traceability across the entire network. Finance leaders can align panel data with bank and chain explorers, match entries, and sign off quickly. This reduces rework, enables consistency, and supports scalable governance.
Support
Support is continuous, with 24/7 access via WhatsApp, Telegram, and email. Applications are typically reviewed within 1-2 business days, and on approval, partners receive dashboard credentials and a marketing asset pack. We deliver structured onboarding sessions for operational leads and field teams, ensuring configuration, funding flows, and reporting exports are correctly implemented from day one.
Frequently Asked Questions
How do I join the programme?
Submit the application with licensing details, operational scope, and KYC. Reviews complete in 1-2 business days. On approval, you receive panel credentials, a marketing asset pack, and gateway onboarding guidance. Load prepaid credit, configure exposure controls, and begin structured acquisition via referral links and co-branded landing pages.
What products are available under one panel?
Sportsbook with 50+ sports, Live Exchange for back/lay markets, Casino with 2,000+ titles from 15+ Tier-1 providers, and an Asian Sportsbook with handicap, over-under, 1X2, and quarter-line markets. Content can be permissioned by network segment for compliance and localization.
How does the hierarchy model work?
Create nodes aligned to your organization, allocate prepaid credit, set exposure limits, and manage permissions. Acquisition maps to nodes via referral links and QR codes. Audit trails capture allocations and changes, enabling governance and rapid reconciliation during period closes.
How does the prepaid model change settlement?
Exposure is tied to funded balances, removing many post-cycle disputes. Reconciliation uses downloadable ledgers, movement logs, and daily balance snapshots. Finance can export statements, align entries with bank or chain records, and close periods faster with fewer adjustments.
What payment methods are supported?
29+ gateways: fiat (UPI, IMPS, NEFT, RTGS, Visa, Mastercard, Maestro, bank cards, e-wallets) and crypto (USDT TRC-20/ERC-20/BEP-20, USDC). Auto conversion handles value normalization. You can set regional rules and approval flows for high-value movements.
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