- 首页
- Apps
- SaaS Tools
- PayPal & WorldPay Payment Acceptance for Business Central
示意预览A per-tenant AL extension that adds PayPal and WorldPay pay-now links to your Business Central posted sales
invoices, then auto-applies settled payments and posts gateway fees so your finance team reconciles in minutes, not hours. Built, installed, and supported by ECOSIRE.
什么是 PayPal & WorldPay Payment Acceptance for Business Central?
A per-tenant AL extension that adds PayPal and WorldPay pay-now links to your Business Central posted sales invoices, then auto-applies settled payments and posts gateway fees so your finance team reconciles in minutes, not hours. Built, installed, and supported by ECOSIRE. 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.
核心功能
按需定制,全程代劳
无需自行搭建——由 ECOSIRE 构建、安装并提供支持的可用应用。
- 1
您下单
以一次性构建价格开始。我们在启动时与您共同确定范围。
- 2
我们构建与安装
ECOSIRE 在您的 Dynamics 365 Business Central 上构建、配置并安装。
- 3
上线 + 支持
约一个工作周内上线,并包含两周上线支持。我们交付的代码中的缺陷免费修复。
关于此产品
PayPal & WorldPay Payment Acceptance for Business Central lets your customers pay an invoice by card or digital wallet from a hosted checkout link, and quietly closes the accounting loop on the back end. This is a build-to-order extension: ECOSIRE develops it in AL, installs it as a per-tenant extension on your Business Central environment (cloud SaaS or on-prem), and supports it after go-live. It is not an instant AppSource download — you get a solution wired to your chart of accounts, payment methods, and posting rules.
The extension adds a "Pay Now" action and embedded payment link to Posted Sales Invoices via a page extension, and emails it through your existing document send profile. Customers settle on PayPal Checkout or the WorldPay Hosted Payment Page; we never touch raw card data, so your PCI scope stays with the gateway. When a payment settles, a webhook receiver (exposed through a Business Central API page / OData endpoint, processed by a Job Queue entry) matches the transaction to the open invoice and creates a Cash Receipt Journal line applied to the customer ledger entry. Gateway fees post to a dedicated G/L account so your bank reconciliation ties out to the cent.
Refunds are handled from inside Business Central: an action on the posted invoice calls the gateway refund API and posts the corresponding credit. Everything runs under a dedicated permission set, with table extensions storing gateway transaction IDs, fee amounts, and status for full audit traceability. Multi-currency, partial payments, and your tax setup are respected because we configure against your real company data during build. Optional Dataverse/Power Platform sync can surface payment status to Power BI or a portal.
你得到什么
- Per-tenant Business Central AL extension (.app) built for your environment and installed by ECOSIRE
- Page extension on Posted Sales Invoices with Pay Now action and embedded gateway links
- Webhook/API integration to PayPal and WorldPay with Job Queue processing for auto-reconciliation
- Configured G/L mapping for gateway fees and a setup page for credentials and posting rules
- Dedicated permission set plus a short admin guide for finance users
- Source code (AL) handed over and a deployment package, with sandbox-first installation and validation
这是给谁的
SMB Finance Manager
Wants customers to pay invoices online by card or wallet and needs payments, fees, and refunds to reconcile automatically inside Business Central without manual journal entry.
Business Central Administrator
Responsible for the tenant and extensions; wants a clean per-tenant install, scoped permission set, sandbox validation, and no AppSource lock-in or PCI exposure.
Accounts Receivable Clerk
Spends hours matching gateway settlements to open invoices; wants pay-now links on sent invoices and one-click refunds that post the right ledger entries.
PayPal & WorldPay Payment Acceptance for Business Central 如何比较
| 标准 | 伊科西尔 | 定制建造 | 竞争对手 | Dynamics 365 Business Central 原生 |
|---|---|---|---|---|
| PayPal and WorldPay pay-now links on posted invoices | 包含 | 部分支持 | 部分支持 | 不包括在内 |
| Automatic payment application to customer ledger entries | 包含 | 部分支持 | 包含 | 不包括在内 |
| Gateway fee auto-posting for clean bank reconciliation | 包含 | 部分支持 | 部分支持 | 不包括在内 |
| Refund processing posted from inside Business Central | 包含 | 部分支持 | 部分支持 | 不包括在内 |
| Configured to your chart of accounts and posting rules at build time | 包含 | 包含 | 不包括在内 | 不包括在内 |
| AL source handed over with no AppSource lock-in | 包含 | 包含 | 不包括在内 | 部分支持 |
| Ongoing support for gateway API and BC update changes | 包含 | 不包括在内 | 部分支持 | 部分支持 |
| PCI scope kept with the gateway (no card data in BC) | 包含 | 部分支持 | 包含 | 不包括在内 |
关于PayPal & WorldPay Payment Acceptance for Business Central的常见问题
Is this a Microsoft AppSource app I can install instantly?
No. This is a build-to-order per-tenant extension. ECOSIRE develops it in AL against your actual Business Central setup, then installs it on your environment. You are not downloading a generic app from AppSource — you get a solution configured to your chart of accounts, payment methods, and posting rules.
How long does delivery take?
Typical lead time is one working week from kickoff, depending on whether you need both PayPal and WorldPay live at launch and the complexity of your posting and multi-currency setup. We start in a sandbox, validate end-to-end with test transactions, then schedule the production install with you.
What happens after go-live — do you provide support and updates?
Yes. ECOSIRE supports the extension after installation, including bug fixes, gateway API/webhook changes, and compatibility with Business Central major updates. Support terms are agreed at purchase; the AL source is handed over so you are never locked in.
Does my business take on PCI compliance by accepting cards?
Card data is entered on PayPal Checkout or the WorldPay Hosted Payment Page, never inside Business Central. The extension only stores transaction IDs, amounts, fees, and status, so the cardholder-data PCI scope stays with the gateway rather than your BC tenant.
Will it work with my multi-currency invoices and partial payments?
Yes. Because we build against your real company data, the extension respects your currency setup and posts partial payments correctly, applying each settled amount to the right customer ledger entry and leaving the remaining balance open.
Can it run on Business Central on-premises as well as cloud SaaS?
Yes. The extension is built in AL and can be installed on Business Central online (SaaS) or on-premises. The webhook receiver and Job Queue processing are configured to suit your environment's networking during the build.
相关模块

Payment Terminal Connector (Adyen / Verifone / Ingenico)
A build-to-order Business Central extension that links your POS to Adyen, Verifone or Ingenico card terminals through a device-agnostic Terminal API for fast, EMV-secure, semi-integrated in-store payments.

PayTabs Payments Connector (MENA)
A build-to-order AL extension that connects Dynamics 365 Business Central to the PayTabs gateway so MENA merchants can send hosted pay links on invoices, auto-reconcile settled payments, and process refunds without leaving BC.

PayTabs / Tap MENA Payment Gateway for Business Central
A custom-built Business Central (AL) extension that connects PayTabs and Tap to your invoices — pay-links, multi-currency MENA settlement, and automatic payment, fee and refund posting. Built, installed per-tenant and supported by ECOSIRE.
PayPal & WorldPay Payment Acceptance for Business Central
A per-tenant AL extension that adds PayPal and WorldPay pay-now links to your Business Central posted sales invoices, then auto-applies settled payments and posts gateway fees so your finance team reconciles in minutes, not hours. Built, installed, and supported by ECOSIRE.
- PayPal Checkout and WorldPay Hosted Payment Page links embedded on Posted Sales Invoices via an AL page extension
- Card and digital-wallet acceptance with no card data touching Business Central, keeping PCI scope with the gateway
- Automatic payment application: settled transactions create and post a Cash Receipt Journal line against the customer ledger entry
- Gateway fee posting to a dedicated G/L account so bank reconciliation ties out exactly
