Understanding Intra-Merchant Transfers
Intra-merchant Transfers track the movement of Gift Card funds between your location and other locations within . This helps you see cards sold at one location and redeemed at another.
How to view your Intra-Merchant Transfers
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Log in to your Business Dashboard:
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Go to Reporting.

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Click on Gift Cards

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Under the Liability Overview page, at the bottom of the page you will find a summary of all transfers in and out for your business.

 - Types of Transfers
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Transfers In
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Cards issued by other locations but redeemed at your location.
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Example: A guest purchases a gift card at Hotel A, then redeems it at your location. This increases your location’s liability for that card until it is redeemed.
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Shows the value of incoming funds from other merchants.
 
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Transfers Out
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Cards sold at your location but redeemed at other locations.
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Example: A card purchased at your location is later redeemed at Hotel B. This represents funds leaving your location to another merchant.
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Helps track your location’s contribution to other merchants’ liabilities.
 
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Viewing Transaction Details
For a deeper dive into each Intra-merchant Transaction, use the Reconciliation page.

This provides:
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Issuing location and redemption location
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Transaction type (redeem, load, or transfer)
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Transaction amount and date/time
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Terminal and branch information
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Customer/member ID
 
Tip: Until a gift card is redeemed at a location, it will not appear in that location’s transaction history because the funds haven’t been loaded there yet.
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Best Practices
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Regularly check Transfers In and Out to ensure cross-location gift card activity is tracked accurately.
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Use the Reconciliation page for detailed audits or troubleshooting.
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Keep a record of proofs for transfers if needed for accounting or disputes.
 
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