Details on Groov's model to help you understand the insights entity and how to maximise the integration benefits
Settlement data dictionary
Settlement data dictionary drives the Settlements Summary insights model
What is a Settlement object on Groov platform?
A settlement object represents the funding/payout a seller (account ledger) receives from their commerce/payment partner/provider, based on either an automated payout schedule or a manual orchestration, depending on the sellers county/industry setup with its commerce/payment partner provider. Further details of the object can be found in Settlement model page.
Context of Settlement Summary insights resource
What does Settlement Summary insights resource on Groov platform provide?
Settlement summary insights resource provides an easy way to get an aggregated/rolled up view of a seller's (account ledger) payout/funding received from its commerce/payment partner/provider. You will be able to
slice and dice the settlement summary amounts via a Daily, Monthly or Yearly timeline view
query by Groovs ledger account identifier or your internal system/platform identifier
define a milestone date that acts as your reference point to run your query on.
query on how long in the past you want to go wrt either daily, monthly or yearly snapshots
view rolled-up insights for a particular account (eg: MID - Merchant ID in case of commerce/payment accounts)
view rolled up insights across one or more commerce/payment partner/provider accounts.
Insights Dictionary
Query Model
Attribute
Type
Required/Optional
enum
Description
institutionAccountId
string
Required (Conditional)
the Institution record identifer for which the summary/rolled up insights/merics is requested. This OR the ledgerAccountId will be mandatory
ledgerAccountId
string
Required (Conditional)
the Groov record identifier for which the summary/rolled up insights/metrics is requested. This OR the institutionAccountId will be mandatory
metricUnit
string
Required
daily monthly yearly
defines the unit by which the summary insights need to be aggregated
metricLength
Integer
Required
defines the length of the units across which the summary insights need to be aggregated. If metricLength is day, a max of 90 is honoured for metricLength
metricReferenceDate
date
YYYY-MM-DD format
Optional
indicates the reference date to use to drive the summary reporting across metricLength and metricUnit. If no date is passed, sys_date is used
sort
array[string] (query)
Optional
Sorting criteria in the format: property(:asc | desc). Multiple sort criteria are supported.
By default is: 'sort=date:desc' for daily, 'sort=month:desc' for monthly and 'sort=year:desc' for yearly
Insights response data construct
Attribute
Type
Description
institutionAccountId
string
the Institution record identifier for which the summary/rolled up insights/metrics is requested. This will be as provided in the request parameter
ledgerAccountId
string
the Groov record identifier for which the summary has been provided. This will be as provided in the request parameter
metricGeneratedDate
date
Date on which the Insights metric as requested was generated
metricReferenceDate
date
indicates the reference date that has been used to drive the summary reporting across metricLength and metricUnit. If no date was provided in the request parameter, the default sys_date is used
metricSummaryByPartnerList
list
Lists the settlement metrics aggregated by Partner (PSPs/Payment Providers/ Commerce Account Providers)
object
string
String representing the object’s type. Objects of the same type share the same value. Value is "list"
data
array of hashes
The list of all aggregated settlement grouped by partners
partnerSource
string
name of the partner system
settlementSummaryList
list
Lists the settlement metrics that have been aggregated across a period of time
object
string
String representing the object’s type. Objects of the same type share the same value. Value is "list"
data
array of hashes
The list of all aggregated settlement amounts
partnerAccountId
string
This will be the account Id (for Payment partners will be MID for example) as maintained on the Partner system against which the funds are settled by the partner
metricUnit
string
defines the unit by which the summary insights need to be aggregated. This is as provided in the request parameter
date
string
YYYYY-MM-DD hh:mm:ss // ISO-8601 format only provided in response if metricUnit is day
month
string
MM: Two-digit month (1 = January, 11 = November and so on) // ISO-8601 format
only provided in response if metricUnit is day or month
year
string
YYYY: Four-digit year // ISO-8601 format
countTransactions
integer
This provides an aggregated count of all types of relate transactions that form the settlement total.
amount
integer
aggregated/summarised settlement amount (in pence) across the aggregated time period that has been paid out to the merchants/ledgers funding account i.e has been settled with the merchant/ledger
currency
currency
Three-letter ISO currency code representing the default currency in which the settlement amount value was aggregated