Credit-Based Sportsbook Operator Backend Infrastructure
How It Works
Apply online with your company profile, licensing details, and target regions. Our partnerships team reviews submissions within 1–2 business days. On approval, you receive partner panel credentials and a marketing asset pack tailored to your brand and markets, enabling immediate configuration of a credit-based sportsbook operator backend infrastructure.
Next, load prepaid credit through fiat or crypto rails to create your operational float. Configure hierarchy roles, exposure limits, retail pricing, and per-market controls. Map regional rules, default event caps, and payout preferences so the platform enforces your trading policy consistently across your network from day one.
Onboard your network using referral links, QR codes, and branded landing pages from the toolkit. Segment traffic by campaign, region, and promoter. Define allowed products per segment—sportsbook, exchange, casino, or combinations—while applying per-segment exposure and responsible gambling parameters that align with your jurisdictional obligations.
Manage your downline from a centralized dashboard with real-time balances, liability, and performance analytics. Reallocate credit instantly, pause issuance, or enforce holds before major events. Example: preload 5,000 USDT, allocate 1,000 each across five partners, set 30% event exposure caps, and auto-lock residual credit during high-volatility fixtures for predictable, controlled exposure.
Who This Is For
Licensed operators expanding verticals or entering new geographies who require a credit-governed infrastructure with fast deployment and centralized control. If you are evaluating a white-label sportsbook, consider this prepaid-credit alternative for faster cashflow discipline and granular exposure management without replatforming your entire operation.
Regional bookmakers aiming to replace spreadsheets and manual reconciliations with a structured backend. Move to rule-based credit issuance, automated event caps, and downloadable audit trails that evidence financial transparency to banking partners, PSPs, and internal compliance teams managing multi-market operations.
Digital marketers with active sports communities, sports community leaders seeking to formalize activity, and entrepreneurs entering iGaming via the agent route. Build a hierarchy, assign product access, deploy branded landing pages, and monitor conversion and retention via real-time partner analytics tied to responsible gambling controls.
Sub-agents growing downlines who need reliable float management, and back-office leads or partnership teams responsible for reporting and reconciliation. Access consolidated statements, region-level performance, exposure-at-event, and automated variance alerts, simplifying management reviews and enabling precise, data-driven credit top-up decisions.
Benefits
The prepaid model removes chargeback concerns and brings predictable exposure, as outflow cannot exceed loaded credit. Financial transparency is enforced by design: every allocation, hold, and release is timestamped. You operate with managed risk and commission-free settlement, aligning cash position and liability without downstream disputes or delayed reconciliations.
Transparent wholesale-to-retail pricing, a real-time analytics dashboard, and a comprehensive marketing toolkit streamline growth. The toolkit includes a QR generator, referral links, branded landing pages, a banner pack, and push templates. Track campaign ROI by channel, compare segment conversion, and adjust product availability while keeping exposure parameters consistent across your hierarchy.
| Model | Funding Flow | Chargeback Exposure | Cashflow Control |
|---|
| Prepaid Agent Platform (Gamting) | Credit loaded upfront via fiat/crypto | Zero chargebacks on operational float | Real-time limits, event caps, instant reallocations |
| Post-paid Credit Book | Usage first, settlement later | High, reliant on collections | Delayed, manual reconciliations and disputes |
| White-Label Turnkey (Alternative) | Operational billing per contract | Varies by provider terms | Indirect, depends on provider workflow |
Customize exposure limits per hierarchy level and by sport, league, or market type. Example: set stricter limits for live basketball, enable broader limits for pre-match football, and cap exchange lay liability. Automated locks ahead of volatile events secure positions and reduce last-minute manual interventions.
There are no hidden fees or setup costs in the partner workflow. You control float size and allocation cadence, supported by 24/7 partner assistance. With prepaid credit management and no prepaid credit model, your downstream pricing remains predictable, and partner-level statements are consistently aligned with funded balances.
Product Stack
Sportsbook covers 50+ sports, including IPL cricket, EPL football, NBA, ATP tennis, Kabaddi PKL, motor racing (F1, MotoGP), and virtual sports. Markets include handicap, over/under, 1X2, quarter-line, and more. Configure market availability per region and enforce exposure caps by competition tier.
Live Exchange delivers peer-to-peer back/lay with efficient matching and configurable price increments. Set lay liability ceilings and per-event caps to stabilize exposure. Use monitoring widgets to track net positions across popular events and quickly adjust product availability for segments with heightened volatility.
Casino aggregates 2,000+ games from 15+ Tier-1 providers, including live tables, slots, crash, and game shows. Apply product controls by group, enable or disable providers regionally, and review RTP reporting for operational oversight. Virtual sports and esports (CS2, Dota2, Valorant, LoL) are available under unified governance.
Asian Sportsbook formats support handicap, totals, and alternate lines alongside the global book. All modules run from a single partner panel with unified reporting, exportable ledgers, and role-based access. Integrate via lightweight APIs, and deploy PWA/APK builds to streamline acquisition in mobile-first regions.
Agent Hierarchy
Operate a structured, multi-level network that separates responsibilities while preserving centralized control. Assign product permissions, apply exposure settings, and define what each role can view or manage. The hierarchy design supports scalable growth without compromising financial transparency or operational oversight across regions.
Allocate credit downstream using controlled issuance, temporary holds, and automated release conditions. When a partner reaches defined exposure thresholds, the system can pause allocations or trigger approval steps. This ensures no over-extension beyond funded balances, keeping the entire network within predictable operational bounds.
Access consolidated and drill-down reporting across the hierarchy: balances, liabilities, turnover, and event-level exposure. Generate downloadable statements for each relationship, including timestamped credit movements, notes, and attachments. Audit logs capture every material change, supporting internal control, banking queries, and PSP due diligence.
Set limits by sport, league, or market profile, including tighter controls for live trading and exchange lay liability. Use event caps and per-segment rules to manage volatility around marquee fixtures. Automated alerts notify you of threshold breaches, enabling proactive adjustments before material risk accumulates.
Payments & Settlement
Leverage 29+ payment gateways covering key fiat options: UPI, IMPS, NEFT, RTGS, Visa, Mastercard, Maestro, domestic bank cards, and leading e-wallets. Gateways can be region-mapped, and deposit windows scheduled to match banking cycles, ensuring predictable funding workflows across your markets.
Crypto support includes USDT (TRC‑20, ERC‑20, BEP‑20) and USDC, with auto fiat-crypto conversion for statement consistency. Real-time top-ups reflect immediately in available credit, enabling rapid reallocations before high-liability events. Transaction hashes, rates, and timestamps are stored alongside ledger entries for full operational traceability.
The prepaid model eliminates post-settlement disputes by aligning usage strictly with funded credit. Define per-region deposit and withdrawal rules, minimums, and cooling-off periods. Example: enforce higher minimum top-ups for in-play heavy segments, and apply validation windows before unlocking newly loaded credit for downstream issuance.
Generate downloadable receipts and monthly statements, reconcile by currency and method, and route refunds to source instruments where required. Automated AML thresholds and velocity checks flag unusual activity for review. These controls support banking dialogues and internal audits while keeping partners informed through consistent, timely documentation.
Support
Access 24/7 partner support across WhatsApp, Telegram, and email. Dedicated success managers help configure hierarchy rules, event caps, payment mappings, and reporting schedules. Response SLAs prioritize funding, access, and exposure issues, ensuring continuity during peak trading periods and major tournament calendars.
Applications are reviewed within 1–2 business days. Upon approval, you receive dashboard credentials and a marketing asset pack. A guided kickoff session covers credit loading, product enablement, risk settings, and analytics so your team can operate efficiently from the first live cycle.
Structured onboarding includes playbooks for regional compliance, PSP documentation, and internal control alignment. Technical teams receive API references, webhook samples, and export specifications. We assist with data mapping for legacy migrations, ensuring historical balances, event caps, and partner notes carry forward accurately.
PWA and APK builds are available to support mobile-first acquisition. UAT checklists, sandbox credit, and staged rollouts help validate workflows before scale. Escalation paths through L1, L2, and L3 ensure complex issues—such as gateway routing or exchange-specific rules—are addressed with clear ownership and timelines.
FAQ
How do I join the partner program?
Submit the online application with company details, licensing, and target regions. Our team reviews within 1–2 business days. On approval, you receive partner credentials, a marketing asset pack, and a kickoff call to configure credit, hierarchy, exposure, and product access.
Which products can I enable for my network?
You can enable Sportsbook across 50+ sports, Live Exchange with back/lay, Casino with 2,000+ games from 15+ Tier‑1 providers, esports, and virtual sports. Product availability can be customized by region, segment, and hierarchy level with distinct exposure rules.
How does the hierarchy work without naming fixed roles?
The hierarchy supports a structured, multi-level network using role separation and permissions. You allocate prepaid credit downstream, set product rights, and apply exposure caps. Partners can manage their own downline within limits, while you retain centralized control and analytics.
What is the prepaid credit model in practice?
You load credit via fiat or crypto, then allocate to your network. Usage is constrained by funded balances, eliminating chargebacks on the operational float. Automated locks, event caps, and approval steps maintain financial transparency and controlled exposure.
Which payment methods are supported for funding?
We support 29+ gateways across UPI, IMPS, NEFT, RTGS, Visa, Mastercard, Maestro, domestic bank cards, e-wallets, and crypto options including USDT (TRC‑20, ERC‑20, BEP‑20) and USDC. Auto conversion and detailed ledger entries keep statements consistent across currencies.
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