Wallets & Finance
What it is
The wallets and finance area is where customers move money — funding their account, withdrawing profits, transferring between wallets, and reviewing every transaction.
What the client does here
- Reviews wallet balances and their available actions.
- Submits deposits through the payment methods the operator has configured.
- Requests withdrawals and transfers between accounts.
- Adds and manages bank information when a method requires it.
- Reviews full transaction history with status on every request.
📷 Screenshot: AltCore wallets view with deposit, withdraw, and transfer actions plus the transaction history table.
Pitch talking points
- Multiple wallet and payment-method types, all operator-configured — no code changes to add a gateway.
- Every customer money movement routes through the operator's review and approval rules.
- Transparent transaction history builds customer trust and reduces finance support load.
- Emergency deposit and transfer options can be enabled when the operator wants them.
Connects to
- Process flows: Deposit to trading balance, Withdrawal end to end
- Admin setup: Phase 3 — Configure financial rails (in Full platform setup).