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Onboarding

  • Onboarding Process
  • Documents required for Onboarding
  • Step by step guide to completing the Trust My Travel application form
  • Onboarding FAQs

Compliance

  • Card Scheme Rules
  • Annual Compliance Checks
  • Displaying the Trust Protects.Me logo
  • Displaying the Trust My Travel Package Travel Protection Logo

Package Travel Protection - Subscription

  • How subscription works  

Integration

  • Direct Integration with the Trust My Travel Dashboard
    • API Integration FAQs
    • HOW TO FIND TEST CREDIT CARDS 
    • How to find your Channel Secret API Key
    • Integrate with us via API
    • How to find your Site ID, Site Name and Site Path
    • API Tokens 
  • Direct Integration with Trust My Travel's Supplier Payments Feature
    • Integrating with Trust My Travel’s Supplier Payment feature 
  • Direct Integration for the Trust My Travel Package Travel Protection Product
    • Integrating the Trust My Travel Package Travel Protection Product
  • Indirect Integration: Third Party Systems
    • Integrate via your Reservation System
  • No Integration Required
    • How to create a Manual Booking

Navigating the Infinity Platform

  • Accessing the platform
    • Setting your Password
  • Your Analytics page
    • Dashboard Analytics
  • Main Menu > Dashboard tab
    • Your Platform Homepage
  • Main Menu > Channels tab
    • How to view your Processing Channels
    • How to check the status of a Processing Channel
    • How to add a new Processing Channel
  • Main Menu > Bookings tab
    • Amending a Payment Request on the Dashboard
    • How to locate a specific Booking
    • Unique Trust ID’s for Bookings and Transactions
    • How to check the status of a Booking
    • Manual Bookings
      • How to create a Manual Booking
      • How to create and edit a booking  to charge a deposit and a final payment
      • How to change the Balance Due Date
      • How to pre-define your company address
      • How to send a Payment Request email
      • How to edit a Manual Booking
      • Manual Booking and Payment Link FAQs
  • Main Menu > Transactions tab
    • Transaction Types
    • Transaction Statuses 
    • Unique Trust ID’s for Bookings and Transactions
    • How to view Recent Transactions
    • How to locate a specific Transaction
    • What to do when a Transaction is declined
    • Multi-Currency Pricing FAQs
    • Email Receipt FAQs
    • Refund FAQs
  • Main Menu > Allocations tab
    • How to view and locate Allocations
    • How to edit an Allocation 
    • How to reverse an Allocation
    • How to manually allocate funds between Channels
  • Main Menu > Credits and Debits tab
    • Credits and Debits Tab
  • Main Menu > Statements tab
    • How to view a payment or transaction from your Statement 
    • How to locate a specific Statement
    • Understanding Exported Statements
    • Trust My Travel fees and terminology
    • How to export / download a Statement
    • Rolling Reserve FAQs
  • Main Menu > Ledger tab
    • Understanding the Trust Ledger ‘Owing’ and ‘History’ tabs
    • How to find the running balance of Available Funds

Accepting Payment

  • Bank Transfers
  • Card Types and Payment Methods 
  • Card Scheme Rules
  • How to view your Processing Channels
  • How to check the status of a Processing Channel
  • How to add a new Processing Channel
  • Selecting a Base Currency for a Processing Channel

Declaring Transactions for Protection

  • PSP Codes
  • Option 1: Use the “Bulk Upload” button for CSV files
  • Option 2: Uploading Transactions for declaration via API
  • Option 3: Manually declare a Transaction

Chargeback Management

  • Blog – Chargeback Fraud Soars Amid the Cost of Living Crisis
  • What is a Chargeback?
  • Chargeback email notifications
  • Disputing a Chargeback
  • Dispute Codes and Supporting Documentation
  • What is a Retrieval Request?
  • Pre-Arbitration
  • Chargeback Statuses
  • Chargeback updates to the Infinity Platform -Q4 2022
  • Chargeback FAQs

Getting Paid

  • Pay-outs
  • Release Schedules
  • Trust My Travel fees and terminology
  • How to export / download a Statement
  • Understanding Exported Statements
  • Add or Update your Bank Details
  • Supplier Allocation FAQs
  • Trust Ledger
    • Understanding the Trust Ledger ‘Owing’ and ‘History’ tabs
    • How to find the running balance of Available Funds

Glossary

  • Glossary

Frequently Asked Questions

  • Transaction Decline FAQs
  • Selecting a Base Currency FAQ’s
  • 3D Secure FAQs
  • Card Types and Payment Methods 
  • API Integration FAQs
  • Chargeback FAQs
  • Email Receipt FAQs
  • Interchange Plus (IC++) pricing FAQs
  • Manual Booking and Payment Link FAQs
  • Multi-Currency Pricing FAQs
  • Onboarding FAQs
  • Refund FAQs
  • Rolling Reserve FAQs
  • Trust Protects.Me logo FAQs

Transactions

  • Transaction Statuses 
  • How to view Recent Transactions
  • How to locate a specific Transaction
  • What to do when a Transaction is declined

Refunds

  • How to process a full or partial Refund
  • Errors when Refunding

Fraud Tools including 3D Secure

  • What is 3D Secure?
  • 3D Secure FAQs
  • Countries where 3D Secure is required
  • Understanding why a 3D Secure transaction has failed
  • Fraud Tools
View Categories
  • Home
  • Knowledge Hub
  • Navigating the Infinity Platform
  • Main Menu > Dashboard tab
  • Your Platform Homepage

Your Platform Homepage

1 min read

Unreleased Funds

Unreported Funds This refers to all funds not yet released into a statement for the Channel selected – as this is a live metric it is updated every 20 minutes.  
 
How to calculate your Unreported Funds, Credits – Debits = Unreported Funds. 
 
Credits: 
Successful or locked: Purchase, capture, retained purchase, chargeback override, chargeback reversal transactions 
Allocation credit 
 
Debits: 
Successful or locked: refund, manual refund, chargeback 
Processing fee 
Processing percentage 
Reserve debit 
Allocation debit 
Chargeback fees 
Pending Statements This is the value of all the pending statements for the Channel selected.
Ledger You can view the live ledger balance of the Channel selected. 
Reserve This refers to the value currently held in your Rolling Reserve (if you have one this will be shown on your contract.)  

Payout 

Last Amount Released This refers to the last pay-out that was sent to your bank.
Last Date Released This refers to the date that the last pay-out was sent to your bank.
Next Pay-out Date This is the date that the next pay-out will be processed – these funds will be received by your bank within 5 working days of this date.

Resources

Knowledge Hub This is a link to a help page for our dashboard, FAQ’s and Chargeback Management.
Payment Modal Integration Documentation This is a link to a document to help you integrate our payment modal on your website.

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