B2B Sportsbook Engine API Integration for Operator Backends
How It Works
Your partnership begins with a simple application, reviewed within one to two business days, after which approved partners receive panel credentials, API keys, sandbox access, and a marketing asset pack to start configuring hierarchy, loading prepaid credit, and aligning exposure rules across your operator backend using our B2B sportsbook engine API integration for operator backends.
After approval, you load prepaid credit to the partner wallet via supported fiat or crypto methods, enabling immediate issuance of balances to your network. Configure exposure, stake caps, market availability, and time-based controls by region. The centralized dashboard surfaces financial transparency, limit compliance, and credit movement logs, so your team can track each adjustment and reconcile activity rapidly.
Onboarding is streamlined with referral links, QR codes, and branded landing pages mapped to your hierarchy. Partners can predefine market visibility, price sources, and event catalogs per downline. The platform supports flexible mapping to internal user IDs, whitelisting of IP ranges, and optional SSO via JWT to align operator identity flows with our partner panel without disrupting existing back-office tooling.
Daily operations run through a single panel: allocate credit downstream, revise exposure, trigger temporary market closures, and export performance reports. Real-time analytics highlight turnover, hold, liabilities, and regional performance. When needed, invoke the API to synchronize user tags, risk groups, and market availability with your back-office, ensuring consistent policy enforcement across internal systems and the partner network.
Who This Is For
This solution is for licensed operators seeking to expand verticals without rebuilding infrastructure, regional bookmakers needing structured hierarchy and predictable exposure control, and partnership teams managing multiple market footprints who require a dependable prepaid credit backbone and an integration-ready sportsbook engine for internal alignment and governance.
It suits established operators adding an agent-led channel alongside retail or online distribution, as well as digital marketers with existing communities who want centralized tools for landing pages, referral tracking, and analytics. Sports community leaders with organized groups benefit from controlled access to sports, exchange, and casino modules while keeping credit flows and liabilities fully pre-funded and visible.
Entrepreneurs entering iGaming via the agent route can leverage a tested partner panel and asset pack, avoiding heavy build costs or long certification cycles. Sub-agents growing downlines gain structured workflows for enrollment, ID mapping, and asset distribution. Back-office leads improve audit readiness with immutable credit movement logs, downloadable statements, and role-based permissions aligned with internal operational and compliance requirements.
Partnership teams managing multiple regions and registered entities can apply country-level configurations, dedicated gateway routing, and regional market catalogs. Network managers get granular exposure policies, customizable stake ladders, and limit groups per level within the hierarchy. For organizations comparing white-label pathways, the prepaid-credit agent model provides an alternative route with faster activation and simplified financial clearing.
Benefits
The prepaid operating model eliminates post-event reconciliation friction, delivering zero chargebacks and commission-free operations, while wholesale-retail pricing is transparent at each hierarchy level. With financial transparency dashboards, you see balances, debit notes, and top-ups in real time, supported by immutable logs for each action. Clear separation of credit from turnover helps ensure predictable exposure and disciplined downstream allocation.
Our marketing toolkit accelerates activation: QR generator, referral links, branded landing pages, static and animated banner packs, and push notification templates. Combine these with UTM parameters and partner tags for attribution reporting. Real-time dashboards expose turnover trends, league performance, exposure by market type, and time-of-day concentration, enabling rapid optimization of campaigns and risk policies across your network.
| Option | Funding Model | Product Modules | Gateway Types |
|---|
| Prepaid Credit (Gamting) | Pre-funded wallet, instant credit issuance | Sportsbook, Exchange, Casino, Asian Sportsbook | 29+ gateways, fiat + USDT/USDC |
| Post-paid Invoice | Monthly invoice, delayed settlement | Sportsbook only (typical) | Limited acquirers, bank wires |
| Wallet Clearing | Rolling balance with periodic true-up | Sportsbook + partial add-ons | Selected wallets, regional |
| White-label Alternative | Operator-funded, bundled services | Varies by vendor | Vendor-specific |
Exposure management is configurable per level, with caps by market, league, or event. Set stake ladders, max liability per selection, and time-based freezes close to kick-off. No setup costs or hidden platform fees reduce friction for expansion. 24/7 partner support across WhatsApp, Telegram, and email ensures fast escalation and timely resolution across operations and integration workflows.
B2B sportsbook engine API integration for operator backends provides data parity with your internal reporting. Synchronize user tags, segment mapping, and region flags, and retrieve turnover, exposure, and settlement metrics programmatically. This creates operational consistency across existing risk tools, BI dashboards, and accounting systems while retaining the flexibility to scale your agent network without structural changes to your core stack.
Product Stack
One partner panel orchestrates multiple modules: a full Sportsbook covering 50+ sports including IPL cricket, EPL football, NBA, ATP tennis, Kabaddi PKL, virtual sports, and Motor Racing like F1 and MotoGP. Esports markets encompass CS2, Dota 2, Valorant, and LoL. Each catalog is configurable by region, with selective availability and limit templates aligned to your compliance needs.
The Live Exchange module offers peer-to-peer back and lay functionality with managed exposure policies and liquidity views appropriate for partner oversight. Operators can enable or disable exchange access for specific downlines, define price step constraints, and apply pre-event versus in-play rules. Centralized monitoring allows consolidation of liabilities across sports and exchange, improving holistic exposure visibility and governance.
Casino access spans 2,000+ games from 15+ Tier-1 providers, including slots, table games, and live dealer. Availability can be segmented by country and brand, respecting local restrictions. The Asian Sportsbook supports handicap, over-under, 1X2, and quarter-line markets, enabling regional preferences. Each module integrates into cohesive reporting and settlement workflows, avoiding operational fragmentation that can arise with multi-vendor setups.
For integration teams, the B2B sportsbook engine API integration for operator backends exposes endpoints for user provisioning hooks, tag synchronization, exposure pulls, and report exports. Staging credentials, sample payloads, and rate-limit guidelines are supplied with the approval pack. Optional webhooks notify your systems about credit top-ups, hierarchy changes, and market state updates, minimizing manual coordination and improving time-to-resolution.
Agent Hierarchy
The hierarchy enables a structured multi-level network with clear role separation, credit governance, and exposure rules that cascade predictably. Partners can allocate credit downstream, set liabilities per market group, and enforce configurable freezes before event start times. Centralized dashboards provide near real-time insight into turnover, liability, and outstanding balances at every part of the network.
Credit control is granular: top up or reduce allocations, set maximum stake ladders, restrict access to specific sports or leagues, and apply temporary event suspensions. Exposure and market configurations can differ by region, reflecting regulatory or commercial constraints. Every change is logged with timestamps, user IDs, and reason codes to maintain auditability and operational discipline throughout the hierarchy.
Growth is manageable through referral links tied to hierarchy positions. As networks expand, partners can batch-import users, map external identifiers, and align log retention with internal policies. Analytical views aggregate performance by group, market type, or country. Financial transparency across prepaid credit movements ensures downstream balances remain healthy without resorting to post-event reconciliation or dispute-prone accounting practices.
Downline oversight is simplified with role-based permissions, ensuring sensitive functions like credit issuance, market enablement, and limit changes are accessible only to authorized staff. Scheduled reports can be dispatched to designated recipients, while real-time widgets highlight anomalies such as unusual stake concentration or aggressive exposure swings. These controls reduce operational surprises and support consistent governance as the hierarchy scales.
Payments & Settlement
Prepaid credit underpins settlement certainty by eliminating post-event disputes. Load funds using 29+ payment gateways covering UPI, IMPS, NEFT, RTGS, Visa, Mastercard, Maestro, domestic bank cards, leading e-wallets, and crypto options including USDT on TRC-20, ERC-20, BEP-20, and USDC. Credit becomes available immediately after confirmation, enabling rapid issuance and uninterrupted downstream operations.
Auto fiat-crypto conversion streamlines treasury operations. For example, a regional team may deposit in INR via UPI, while headquarters consolidates balances in USDT for standardized reporting. The system records conversion rates, timestamps, and reference IDs for audit trails. Per-region deposit and withdrawal rules can be defined, including minimums, maximums, and cooling periods to comply with internal and external requirements.
Settlement reporting includes downloadable statements by date range, region, and hierarchy segment. Each entry details the initiating user, source wallet, destination, instrument, and fees where applicable. Financial transparency is reinforced with balance checkpoints and variance reports, enabling finance teams to reconcile across multiple business units. Alerts notify designated contacts when threshold-based top-ups or liquidity rebalancing may be required.
Gateway routing can be configured by country to improve acceptance and minimize friction. For crypto, address whitelisting, memo tagging, and network confirmations are enforced to reduce operational errors. Operators can request temporary credit holds during sensitive events or introduce time-based gating for top-ups near high-liability fixtures, ensuring exposure remains within agreed operational parameters across the network.
Support
Partners receive 24/7 support via WhatsApp, Telegram, and email, with defined escalation paths for operational, technical, and payments queries. Application reviews complete in one to two business days. Upon approval, you receive dashboard credentials, API documentation, sandbox keys, and a marketing asset pack to accelerate activation and align your team on roles, workflows, and reporting.
Frequently Asked Questions
How do I apply and how long does approval take?
Submit your company profile, licensing details, and regional scope. Reviews typically complete in one to two business days. Approved partners receive dashboard credentials, sandbox keys, API documentation, and a marketing asset pack for rapid configuration of hierarchy, exposure templates, and product availability.
Which product modules are available?
Modules include Sportsbook covering 50+ sports, Live Exchange for back/lay, Casino with 2,000+ games from 15+ Tier-1 providers, and Asian Sportsbook with handicap, over-under, 1X2, and quarter-line markets. Availability is configurable by region and aligned with your compliance requirements.
How is the hierarchy managed?
The hierarchy is a structured multi-level network with role-based permissions. Partners allocate prepaid credit downstream, assign exposure caps per market group, enable or disable modules by region, and use centralized dashboards for turnover, liability, and financial transparency across the network.
How does the prepaid credit model work?
You top up the partner wallet using supported fiat or crypto gateways. Credit becomes available immediately for downstream issuance. Immutable logs track every movement, with downloadable statements and alerts. This reduces reconciliation friction and helps maintain predictable exposure across your hierarchy.
Which payment methods and settlements are supported?
We support 29+ gateways across fiat and crypto including UPI, IMPS, NEFT, RTGS, Visa, Mastercard, major e-wallets, and crypto options such as USDT (TRC-20/ERC-20/BEP-20) and USDC. Auto conversion and regional routing are available to streamline treasury operations and acceptance.
Internal Links