UniPay Properties Definition


Property Location Types:


Database run-time property used by the application and stored within a database
Filerun-time property used by the application and stored within a file
Buildbuild-time property used by the application and stored within a file


Groups: All   General   Resources   Tokenization   FTP   FTP Gates   Unibroker  
System   Unibill   Remittance   Notifications   Defaults   Services   QA  
Unipay  

Available Properties for iapp_settings:



Property Definitions for iapp_settings:


unipay.business.payment-method-international   
Added On:  12/11/23
Legacy Name:  
Group:  Remittance
Status:  Active
Attributes:  
Value that determines whether the ‘International Fees' category will be displayed on the UI. The presence of a value in this property results in the display of an additional panel on the Fees form, featuring buttons to toggle between different Fees categories. This value also controls the naming of the button corresponding to this category.
unipay.business.payment-method-local   
Added On:  12/11/23
Legacy Name:  
Group:  Remittance
Status:  Active
Attributes:  
Value indicates the label for the 'Local Fees' category button on the UI, which is applicable only if an additional panel is to be displayed. The presence of this panel relies on whether there are values in two specific properties: unipay.remittance.payment-method-regional and unipay.remittance.payment-method-international.
unipay.business.payment-method-regional   
Added On:  12/11/23
Legacy Name:  
Group:  Remittance
Status:  Active
Attributes:  
Value that determines whether the 'Regional Fees' category will be displayed on the UI. The presence of a value in this property results in the display of an additional panel on the Fees form, featuring buttons to toggle between different Fees categories. This value also controls the naming of the button corresponding to this category.
unipay.business.reconciliation-cutoff   
Added On:  04/22/15
Legacy Name:  
Group:  Remittance
Status:  Active
Attributes:  
Time when the deposit statement is generated.
If the specified parameter is not set, the deposit statement is generated immediately after the creation of financial statistics.
unipay.business.reseller-statement-day-list   
Added On:  10/22/12
Legacy Name:  
Group:  Remittance
Status:  Active
Attributes:  
The list of days (of a month) when reseller statements should be generated. Multiple days (possible values: 1 - 28) can be specified using comma as delimiter, e.g. 5,15.
unipay.temp-last-legacy-statement-id   
Added On:  08/12/20
Legacy Name:  
Group:  Remittance
Status:  Active
Attributes:  
Identifies the ID of the lastest merchant statement absent in Merchant Statement Extended database table (calculated automatically).
The property value defines which version of the PDF Statement is returned when the merchant-statement API call is submitted:
  • if the ID of the requested statement is equal or less than the property value, the old version of the report is generated;
  • if the ID of the requested statement is greater than the property value, the new version of the report is generated.
unipay.temp.httpform-url-enabled   
Added On:  08/12/20
Legacy Name:  
Group:  Remittance
Status:  Active
Attributes:  
Identifies the ID of the lastest merchant statement absent in Merchant Statement Extended database table (calculated automatically).
The property value defines which version of the PDF Statement is returned when the merchant-statement API call is submitted:
  • if the ID of the requested statement is equal or less than the property value, the old version of the report is generated;
  • if the ID of the requested statement is greater than the property value, the new version of the report is generated.