Interactive demo

Balance and credits

Show how checkout credits, refund credits, trade adjustments, seller service credits, and account review can stay understandable before the payment boundary.

Available$42.18 account credit
Pending$19.00 report hold
Applied$12.00 cart credit
Review2 entries need owner
Review balance Credit source, reason, expiration, limits, hold state, and cart application stay visible. Fictional values.
No stored value This page does not create money, hold funds, attach wallet rails, or process refunds. Review data only.
Cart link Credits can be previewed in cart and checkout review without starting payment. Open cart.
Record trail Refund, trade, seller-service, and support credit examples point to receipts and reports. Evidence first.

Credit Sources

  • Refund credit from returned or resolved orders.
  • Trade adjustment when an item-for-item proposal includes a cash difference.
  • Seller service credit for hub intake, packing, pickup, or event participation adjustments.

Checkout Application

  • Cart review shows available credit, applied credit, remaining balance, and handoff choice together.
  • Credits can be limited by category, seller, issue type, expiration, or support outcome.
  • Buyer acknowledgement appears before checkout activation.

Refund Credits

  • Resolved reports can create account credit after evidence, seller response, and support outcome are complete.
  • Pending credits stay linked to the order, report case, item snapshot, and handoff proof.
  • Refund credit history keeps amount, reason, expiration, owner, and next step visible.

Seller Adjustments

  • Seller credits can offset hub service, promotion, packing, pickup, or listing quality corrections.
  • Adjustments need a reason, source order or listing, operator owner, and statement visibility.
  • Seller finance keeps credits separate from earnings, holds, refunds, and payout readiness.

Split Review

  • Cart review can show credit applied first, then remaining amount due after seller terms and handoff choice.
  • Large orders can require account standing, trust review, and support-visible balance history before activation.
  • This page does not collect card, bank, wallet, address, or private identity details.

Controls and Limits

  • Credits need expiration, allowed category, allowed seller, allowed handoff method, and support override rules.
  • Restricted accounts, unresolved reports, seller holds, and identity review can pause application.
  • Every balance change needs a visible reason and an operator audit trail.
Cart center

Cart Center

Show eligible credits, rewards, seller coupons, and balance limits before checkout review.

Checkout review

Checkout Review

Cart items, credits, handoff choices, fees, and buyer acknowledgement.

Settlement ledger

Settlement Ledger

Order value, holds, refunds, release state, and finance review.

Payment and payout readiness

Payment Readiness

Authorization, credits, seller releases, refunds, chargebacks, and tax readiness.

Wallet and split payments center

Wallet & Split Payments

Balance types, tender order, limits, refund routing, and statement trail.

Deals and promotions center

Deals & Promotions

Cart credits, seller coupons, bundle savings, eligibility, and owner review.

Rewards center

Rewards Center

Member status, rewards balance, trade credit, pickup perks, seller rewards, and limits.

Returns and refunds center

Returns Center

Eligibility, evidence, seller response, refund holds, and outcomes.

Seller finance readiness

Seller Finance

Fees, earnings, payout readiness, reserves, credits, and tax readiness.

Trade offer workspace

Trade Offers

Cash difference, proof notes, seller messages, and handoff choice.

Service activation center

Service Activation

Checkout, identity, notifications, media, carriers, support, and launch guardrails.

Current demo state

Balance and credits are represented as review data.

The demo shows account credits, refund credits, trade adjustments, seller credits, cart application, holds, limits, and operator review without moving money.

Future platform state

Balances can expand after financial controls are connected.

Later versions can add provider reconciliation, stored-value policy, seller statements, refund routing, tax treatment, account security, and permissioned audit history.