Customizable Solutions To Meet Every Unique Business Need
Amaryllis’ industry-leading, payment infrastructure platform provides Enterprises, ISVs and SaaS companies with the power to define their unique business processes and the flexibility to support evolving commerce models.
ONLINE GROCERY
ONLINE MARKETPLACE – ENDLESS AISLES

ADOPTERS
- Compete with retailers like Amazon and Walmart beyond the grocery segment
- Drive topline and margin growth with big-ticket items
- Support Multiple Marketplace Revenue Models
- Commission- Percentage, Fixed, Product Category
- Subscription/Monthly Fees
- Delivery/Pickup Fees
- Transaction Fees
- Manage & Support Full Third-Party Seller Lifecycle
- Billing, Payout, Reconciliation
- Unlimited Third-Party Sellers
Compete with retailers like Amazon and Walmart beyond the grocery segment
Drive topline and margin growth with big-ticket items
KEY FEATURES
- Manage & Support Full Third-Party Seller Lifecycle
- Billing, Payout, Reconciliation
- Unlimited Third-Party Sellers
- White-Label Platform
- Reporting & Analytics
BILLING
Complex billing engine powers the creation and management of billing agreements, dissecting a transaction into various billing parts (seller fees, acquirer fees, platform fees, etc.).
Splits & Fees
Seller Account Management
Create, modify, and change each seller account hierarchy, including financial information, service level plans, clearing plans, billing plans, and payouts.
Recurring Billing/Decline Recycle
Management tools for services where payment is made at regular intervals. Sophisticated decline recycle logic reduces declines.
RISK & COMPLIANCE
Consultative approach ensures merchants are compliant and operating in a safe and profitable manner. Full suite of risk management tools, including fraud detection engine, alerts, decision making workflow, and dispute management system.
Monitoring & Alerts
Configurable alerts based on multiple parameters, triggered by transactional and account activities. Alert notification via email, SMS, and API.
RECONCILIATION
Provides automated, day-to-day reconciliation with processor and banking partners, in addition to alert monitoring for exceptions or mismatches.
End-to-End Transaction Lifecycle
Full transaction visibility from processing to payout execution. Settlement reporting reflects sales, fees and merchant payout (net amount).
Automated Matching
Automated day-to-day reconciliation and monitoring for any exceptions or mismatches. Multi-currency and data matching capabilities.
PAYOUTS
Manage, approve, and perform payouts and withdrawals in a controlled, role-based, process. Payouts can be configured for automatic processing or manual approvals.
Customizable Payout Plans
Flexible funding options with ability to define payout schedules for sub-accounts and aggregation periods.
Rolling Reserve & Escrow
Customized reserve management capabilities based on business needs. Payouts can he held in escrow or disbursed on a rolling basis.
Automated Payout
Payout instructions generated and sent to the platform operator or third party to execute payout. Payouts can also be configured for manual approvals.

REPORTING & ANALYTICS
Management dashboard provides end-to-end reporting and analysis with easy access to all payment-related data. Aggregated and sub-account reporting provides rich transaction data.
Sample Reports
- Fees
- Settlement
- Payout
- Transactions
- Splits
- Commissions