Topic

Account details and gateway settings

Browse 8 code-inspected Tide guides for account details and gateway settings, with exact routes, prerequisites, controls, verification evidence, limitations and troubleshooting steps.

8 connected guidesTide PaymentsCode-inspected guidance
8 guides
Guide

Configure the Tide account name shown to customers

Detailed client guidance covering configure the Tide account name shown to customers, with exact eligibility, security, verification and troubleshooting boundaries for the shipped Tide payment and Open Banking controls.

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Guide

Enter and validate a Tide sort code

Detailed client guidance covering enter and validate a Tide sort code, with exact eligibility, security, verification and troubleshooting boundaries for the shipped Tide payment and Open Banking controls.

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Guide

Enter and validate a Tide account number

Detailed client guidance covering enter and validate a Tide account number, with exact eligibility, security, verification and troubleshooting boundaries for the shipped Tide payment and Open Banking controls.

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Guide

Configure the Tide payment-reference prefix

Detailed client guidance covering configure the Tide payment-reference prefix, with exact eligibility, security, verification and troubleshooting boundaries for the shipped Tide payment and Open Banking controls.

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Guide

Understand the payment-reference prefix length and character rules

Detailed client guidance covering understand the payment-reference prefix length and character rules, with exact eligibility, security, verification and troubleshooting boundaries for the shipped Tide payment and Open Banking controls.

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Guide

Set the Tide reconciliation lookback period

Detailed client guidance covering set the Tide reconciliation lookback period, with exact eligibility, security, verification and troubleshooting boundaries for the shipped Tide payment and Open Banking controls.

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Guide

Enable or disable automatic Tide reconciliation

Detailed client guidance covering enable or disable automatic Tide reconciliation, with exact eligibility, security, verification and troubleshooting boundaries for the shipped Tide payment and Open Banking controls.

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Guide

Review all Tide gateway settings before production

Detailed client guidance covering review all Tide gateway settings before production, with exact eligibility, security, verification and troubleshooting boundaries for the shipped Tide payment and Open Banking controls.

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