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- EBizCharge-style Card & ACH Processing for Business Central
イメージプレビューA gateway-agnostic card and ACH processing layer built directly into Business Central
— pay-links, bulk payment requests, EMV terminals, tokenized stored cards and Level 2/3 interchange optimization, delivered as a supported per-tenant AL extension.
EBizCharge-style Card & ACH Processing for Business Centralとは?
A gateway-agnostic card and ACH processing layer built directly into Business Central — pay-links, bulk payment requests, EMV terminals, tokenized stored cards and Level 2/3 interchange optimization, delivered as a supported per-tenant AL extension. Built to order by ECOSIRE for Dynamics 365 BC (build-to-order) — indicative price from $999.00 USD; request a quote for a scoped proposal.
主な機能
受注生産、すべておまかせ
自分での設定は不要 — ECOSIRE が構築・インストール・サポートする実働アプリです。
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ご注文
一回限りの構築料金から始めます。キックオフで一緒に範囲を決めます。
- 2
構築とインストール
ECOSIRE がお客様の Dynamics 365 Business Central 上で構築・設定・インストールします。
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本番稼働 + サポート
約1週間(営業日ベース)で稼働し、本番稼働後2週間のサポートが付きます。納品したコードの不具合は無償で修正します。
この製品について
This is a build-to-order Business Central extension, not an instant AppSource download. ECOSIRE designs, builds, installs and supports a card and ACH processing suite directly on your Microsoft Dynamics 365 Business Central tenant, written in AL as a per-tenant extension (or as an AppSource-track app where your governance requires it).
The core is a gateway abstraction layer: a single AL interface that brokers Authorize.Net, Stripe, CardConnect (Fiserv), and similar processors behind one set of Business Central pages and APIs. Your AR team keeps one workflow regardless of which gateway — or which gateways in parallel — you settle through, which gives you real negotiating leverage on interchange and processing fees.
Functionally, the suite extends the Customer, Sales Invoice, and Cash Receipt areas with table and page extensions. Customers receive hosted pay-links by email; AR can fire bulk payment requests across an open-invoice selection from a single action. EMV / tap-to-pay terminal flows are supported for counter and field collection. Stored payment methods are tokenized at the gateway — no PAN data lands in your BC database — and reused for repeat billing and subscriptions. Level 2/3 line-item data is assembled automatically to qualify B2B and government transactions for lower interchange tiers.
Under the hood we use event subscribers on posting routines to capture and reconcile, a Job Queue entry for settlement and retry, dedicated permission sets for AR vs. admin roles, and the BC REST/OData API plus optional Dataverse/Power Platform surfacing for portals and Power Automate flows. Webhooks from each gateway reconcile authorizations, captures, refunds and ACH returns back to the originating ledger entry. Everything is documented, version-controlled, and handed over with a runbook.
得られるもの
- A per-tenant Business Central AL extension (table/page extensions, codeunits, event subscribers, permission sets) installed on your sandbox then production environment
- Configured connections to your chosen gateway(s) — Authorize.Net, Stripe, CardConnect or equivalent — using your own merchant credentials
- Pay-link email flow and bulk payment-request page action wired into your AR process
- EMV terminal integration configured for your hardware/processor where in scope
- Level 2/3 interchange-optimization mapping configured for your item and tax setup
- Source code in a Git repository plus an admin runbook, permission-set documentation and a tester/operator guide
これは誰のためのものですか
AR / Collections Manager
Wants to cut days-sales-outstanding by sending pay-links and bulk payment requests straight from open invoices, without exporting to a separate portal or re-keying anything.
Controller / Finance Director
Cares about lower effective processing cost through Level 2/3 optimization and gateway-agnostic negotiating leverage, plus clean reconciliation of captures, refunds and ACH returns to the GL.
BC Administrator / IT Lead
Needs the solution delivered as a governable per-tenant extension with proper permission sets, Job Queue jobs and API surfaces, no PAN data in the database, and a documented handover they can maintain.
EBizCharge-style Card & ACH Processing for Business Central の比較方法
| 基準 | エコシエール | カスタムビルド | 競合他社 | Dynamics 365 Business Central 標準機能 |
|---|---|---|---|---|
| Multi-gateway abstraction (Auth.Net, Stripe, CardConnect in one workflow) | 付属 | 部分的なサポート | 部分的なサポート | 含まれていない |
| Bulk payment requests across open invoices | 付属 | 部分的なサポート | 付属 | 含まれていない |
| EMV / tap terminal support | 付属 | 部分的なサポート | 部分的なサポート | 含まれていない |
| Tokenized stored cards (no PAN in BC) | 付属 | 部分的なサポート | 付属 | 含まれていない |
| Level 2/3 interchange optimization | 付属 | 部分的なサポート | 部分的なサポート | 含まれていない |
| Built, installed and supported on your tenant | 付属 | 部分的なサポート | 含まれていない | 含まれていない |
| Source code ownership in your Git repo | 付属 | 付属 | 含まれていない | 含まれていない |
| Tailored to your AR workflow and item/tax setup | 付属 | 付属 | 含まれていない | 部分的なサポート |
EBizCharge-style Card & ACH Processing for Business Central に関するよくある質問
How long until it's live, and is this an AppSource download?
It is not an instant AppSource install — this is built to order for your environment. Typical delivery is about one working week depending on how many gateways you connect, whether EMV terminals are in scope, and your sandbox-to-production change windows. We build and test in your BC sandbox first, then install the per-tenant extension in production with you. If your governance requires an AppSource-track app instead of a per-tenant extension, we scope that variant up front.
Who owns ongoing support and updates after delivery?
ECOSIRE supports the extension after go-live. You receive the full AL source in a Git repository, so you are never locked in, and we provide a support window for fixes and for compatibility with Business Central's continuous monthly/major updates. Gateway API changes, new processors, additional payment workflows or Power Platform integrations are handled as scoped enhancements. We can also operate it under a retainer if you prefer hands-off maintenance.
Does card or bank-account data get stored in Business Central?
No. Payment methods are tokenized at the gateway, and only the token plus non-sensitive metadata are stored. Full PAN and bank-account numbers never touch the BC database, which keeps your Business Central environment out of most PCI DSS scope. Hosted pay-links and terminal flows keep card entry on PCI-validated infrastructure.
Can it run more than one gateway at the same time?
Yes. The abstraction layer is designed so you can route different customers, currencies or transaction types to different processors — for example settling B2B Level 3 card volume through CardConnect while running ACH or subscription cards through Stripe — all behind one Business Central workflow. This is the lever that lets you negotiate interchange and switch processors without re-training AR.
How does reconciliation work for captures, refunds and ACH returns?
Event subscribers on the posting routines capture transactions against the originating Sales Invoice or Cash Receipt, and a Job Queue entry ingests gateway webhooks for authorizations, captures, refunds, disputes and ACH return codes. Each event is mapped back to the correct ledger entry, so your GL stays reconciled automatically rather than through a manual import.
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EBizCharge-style Card & ACH Processing for Business Central
A gateway-agnostic card and ACH processing layer built directly into Business Central — pay-links, bulk payment requests, EMV terminals, tokenized stored cards and Level 2/3 interchange optimization, delivered as a supported per-tenant AL extension.
- Gateway abstraction layer in AL — one interface brokering Authorize.Net, Stripe, CardConnect (Fiserv) and similar, so AR keeps one workflow across processors
- Hosted pay-links emailed per invoice, with customer-facing payment status written back to the BC ledger entry
- Bulk payment requests across a filtered set of open invoices from a single Business Central page action
- EMV / tap-to-pay terminal support for counter and in-field card capture