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ແພັກເກດ ແລະ ລາຄາ
Commercial model
ແພັກເກດ ແລະ ລາຄາ
ໂຄງສ້າງ package ຕົວຢ່າງສຳລັບ sandbox, business ແລະ enterprise. ລາຄາ live ຂຶ້ນກັບ provider contract ແລະ compliance.
REST API
Signed webhooks
Hosted checkout
POST /v1/payments
Sandbox
amount 128.00
currency USD
method hosted_checkout
Merchant → WQN → Provider
✓
payment.succeeded Ready for webhook delivery
200
01 Sandbox first Test outcomes before live onboarding
02 Secure events HMAC signatures and replay protection
03 Clear operations Transactions, reports, and settlement visibility
04 Regional routing Provider-ready payment orchestration
Simple commercial paths
Choose the engagement model that matches your stage.
Sandbox access is for technical validation. Production pricing is quoted after payment methods, markets, volume, settlement needs, and compliance scope are understood.
Sandbox Build
Free test environment No real funds or provider charges
Hosted checkout and payment outcome simulation.
Sandbox API credentials and signed test webhooks.
Integration logs and readiness checklist.
Start testing
Merchant Production
Custom transaction pricing Quoted by volume, market, and method
Payment intents API and signed webhooks.
Provider onboarding and payment-route configuration.
Settlement reports, exports, and support workflow.
Request a quote
Enterprise Tailored
Tailored commercial terms For platforms and provider programs
Custom provider adapters and routing rules.
Risk review dashboard and compliance evidence.
Dedicated settlement and reconciliation workflow.
Talk to our team
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Production fees are proposal-based. The final quote defines billable events, payment-method fees, settlement currencies, FX, refunds, disputes, taxes, and payout timing.
What shapes a production quote Transparent scope
Commercial components reviewed before a production proposal is issued.
Component Applies to Notes
Gateway fee Agreed billable payment events Defined in the signed commercial proposal.
Provider fee Card, wallet, QR, BNPL, bank channels Depends on method, market, currency, acquirer, and risk tier.
FX and settlement Cross-currency payments and payouts Requires provider settlement currency setup and reconciliation rules.
Dispute/refund operations Refunds, chargebacks, evidence workflow Tracked in audit records and merchant transaction timeline.