Top Up and Withdraw Funds Securely

Let merchants, platforms, and wallet operators add funds into account balances and move funds out with review, traceability, and clear transaction records.

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Top-upReplenish account balances through verified funding channels, with every transaction recorded end-to-end.
WithdrawRelease balances through a controlled approval flow, ensuring funds only move where and when they should.
TraceableEvery movement is logged, reviewed, and reconciled & giving finance teams a clear audit trail at any time
Singapay top-up and withdrawal dashboard showing account balance funding, withdrawal review, and transaction records

Overview

Make account balances easier to fund, use, and audit

Top-up & Withdraw gives teams a controlled way to manage operating balances across payouts, settlements, wallet cash-outs, and treasury allocations.

Top up balances

Replenish account balances ahead of payouts and settlement cycles, with visibility into every funding transaction

Withdraw funds

Release funds through a review-based process, so every withdrawal is accountable and traceable back to its source.

Review-ready movement

Automated review routing and detailed transaction logs mean finance teams always know where funds are and why they moved

Balance visibility

Real-time balance visibility and full history give operations and finance teams the confidence to reconcile with accuracy.

Typical scenarios

Trusted across real operating scenarios

Merchant account funding

Platform user withdrawal

Enterprise treasury allocation

Digital wallet balance management

Access modes

Connect through the interface that fits the workflow

Dashboard

Manage top-up and withdrawal activity through a secure, permission-based dashboard built for finance and operations teams

OpenAPI

Integrate top-up and withdrawal flows directly into your system with a documented, production-ready API

Talk to Singapay

Build traceable, audit-ready cash-in and cash-out into your operations

Talk with Singapay about account funding, withdrawal review, transaction records, and balance operations

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