Publisher payouts that
reconcile on the first try.
Cycle-based ledgers, configurable holdbacks, fraud-aware adjustments, multi-rail payout, dispute workflow — all auditable, all automated. Finance teams stop chasing reconciliations.
Publisher payouts · this cycle
LiveFrom caller to closed-loop in milliseconds.
Earn
Every qualified call writes an earning record to the publisher ledger in real time.
Adjust
Holdbacks (fraud, dispute window, quality) are applied automatically per program rules.
Clear
On cycle close, net payouts are computed, multi-rail-routed and pushed to publisher accounts.
Audit
Every line is auditable to the contributing call, with a fully exportable ledger trail.
Every moving part.
Cycle-based ledgers
Weekly, bi-weekly or monthly cycles with configurable cut-offs and holdback windows.
Fraud-aware adjustments
Blocked and flagged calls auto-deduct or hold back per program rules.
Multi-rail payout
ACH, wire, PayPal at GA. Custom rails on enterprise plans.
Dispute workflow
Configurable SLA, audit-trail-backed disputes resolve against transcript and metadata.
Publisher self-serve
Publishers see their earnings, adjustments and payout status in real time.
Accounting export
Native QuickBooks, NetSuite and Sage exports plus CSV/JSON for everything else.
The teams that live by inbound calls.
PPC networks
Run weekly publisher payout cycles with auditable line-item breakdowns.
Insurance aggregators
Multi-state, multi-vertical payout programs with fraud-aware reconciliation.
Affiliate networks
International publisher rosters with currency-aware payouts.
Internal lead-gen
Internal team payouts and commissions on the same ledger as publishers.
What teams always ask.
ACH, wire and PayPal at GA. International wire, Wise and crypto rails available on enterprise plans. Custom rails (e.g., your own ACH-origination bank) supported via integration.
Configurable per program. Common patterns: 10% holdback through dispute window, fraud-flagged calls auto-held until review, quality-below-threshold calls auto-deducted.
Yes. Every adjustment is line-item visible to the publisher with the contributing call, code and reason. Disputes route to your team with the full audit trail.
Native QuickBooks, NetSuite and Sage exports run on a schedule. Each cycle close produces a journal entry mapping to your chart of accounts.
Yes. Per-program currency with daily FX snapshots. Publishers can be paid in their local currency with FX rates locked at cycle-close.
Related Pulse capabilities.
Your next revenue conversation
is already ringing.
Spin up tracking, telephony and AI in a single platform — the way modern US revenue teams do it.
7-day free trial · No credit card · Cancel any time