Coin Management
Page Overview
Section titled “Page Overview”Coin Management is the financial dispatch center for platform billing and service quotas (“coins” are the platform’s dedicated settlement credits for device onboarding and renewal). This page is mainly used to view your current available balance, allocate quotas to subordinate agents or branches, and trace all related transaction records, ensuring transparent and auditable resource circulation.
Page Features
Section titled “Page Features”Available Balance
Section titled “Available Balance”The core area of the page clearly shows the total number of available coins in the current enterprise account. Feature details: Coin balance directly affects whether your enterprise can successfully add new devices or renew services in Device Management. When the balance is insufficient, related device operations are blocked by the system. Finance and back-office teams should monitor this value regularly.
Coin Transfer (Quota Allocation)
Section titled “Coin Transfer (Quota Allocation)”Allows the primary account to transfer part of its available coin quota to downstream agents or subordinate branches for independent business operations. Steps:
- Click Coin Transfer (or transfer) on the panel.
- Search for and select the target subordinate account receiving the coins.
- Enter the amount to transfer, and optionally add a business note.
- Confirm and submit. The system deducts the amount from your account in real time and credits it to the target account immediately.
Transaction Query and Export
Section titled “Transaction Query and Export”Fully records each coin balance change (both income and expense) for reconciliation and internal audit. Steps and feature details:
- Multi-dimensional query: Set a date range or choose a specific transaction type (for example, recharge, transfer, new-device deduction, renewal deduction) to quickly filter target records.
- Report export: Click Export at the top right of the list to download current filtered transactions as an Excel file for local archiving or financial reporting.
Q: My account is running out of coins. How can I recharge in the system? A: To follow B2B corporate settlement standards, the frontend does not provide self-service bank-card recharge. Coin top-up is issued from the backend by our business or technical support team. Please contact your upper-level service provider or dedicated account manager for offline settlement and quota application.