Multi-Product Sportsbook/Exchange/Casino Agent Control Console
How It Works
Getting started is straightforward: submit the agent application with business details, operating jurisdictions, and intended product scope. Our partnerships team reviews within 1–2 business days. On approval, you receive panel credentials and a marketing asset pack, enabling immediate setup and brand-aligned outreach across your target geographies and channels.
Fund operations via prepaid credit to activate wallets, product modules, and market feeds. The prepaid model provides clear financial boundaries from day one, with real-time credit balance, usage logs, and configurable top-up thresholds. This eliminates post-event disputes, keeps exposure predictable, and aligns all stakeholders on a common, auditable reference point.
Configure hierarchy structure, assign downline access, and set exposure and credit ceilings per node. Define market-level restrictions, product entitlements, and authentication requirements. Branded referral links and landing pages streamline onboarding while preserving source attribution, so you can trace performance by campaign, channel, and region, and optimize acquisition spend with confidence.
Operate everything from a centralized console: monitor turnover, hold, exposure, and risk posture; adjust limits mid-cycle; and manage settlements through prepaid credit management. Deploy QR codes in retail touchpoints, track sub-campaigns, and iterate quickly. Training materials and a responsive support lane help teams mobilize efficiently without re-engineering existing partner workflows.
Who This Is For
This platform is built for licensed operators expanding into new verticals without refactoring core systems, and for regional bookmakers needing structured infrastructure to scale. It suits partnership leaders seeking controlled exposure, predictable reconciliation, and auditable performance across multiple acquisition programs and network nodes.
Digital marketers and community owners with established traffic can leverage branded landing pages, referral links, and push templates to operationalize acquisition while maintaining compliance guardrails. The centralized analytics layer exposes source, conversion, and retention metrics, enabling continuous optimization and spend reallocation toward proven cohorts and territories.
Entrepreneurs entering iGaming via the agent route gain a ready-to-operate stack with sportsbook, live exchange, and casino. Sub-agents aiming to expand downlines find transparent controls for credit distribution, product entitlements, and exposure caps. Back-office leads can standardize processes, enforce reconciliation routines, and centralize reporting across business units.
Partnership teams coordinating multiple brands or markets can consolidate operations under a single console. Role-based permissions reduce operational overhead, while multi-product breadth supports cross-sell strategies. If you’re evaluating traditional white-label paths, the prepaid-credit agent approach offers an alternative emphasizing financial transparency, faster activation, and granular limit management without long vendor lock-ins.
Benefits
Work on a prepaid foundation that avoids chargebacks and reduces reconciliation friction. Financial transparency is built-in: wholesale-retail pricing is visible at each step, and exposure is configurable by product, market group, or customer cohort. Many partners appreciate a commission-free approach to platform access, where prepaid credit governs activity instead of complex post-event calculations.
The marketing toolkit includes QR generators, unique referral links, branded landing pages, banner packs, and push notification templates. Each asset is tracked with UTMs, letting you quantify channel effectiveness. Real-time dashboards provide turnover, net position, active accounts, retention markers, and cohort comparisons, giving decision-makers clear performance baselines.
Operational control is precise: set exposure limits per level, throttle high-volatility markets, and impose time-bound credit allowances. There are no hidden fees or setup costs within the agent panel, and changes to product entitlements propagate instantly. 24/7 partner support ensures issues are triaged promptly, with clear escalation routes and documented playbooks.
The single partner console unifies multi-product operations, reducing swivel-chair work. You’ll standardize acquisition, risk, and reconciliation processes across teams and regions. By separating credit, entitlement, and reporting controls, you maintain secure oversight while enabling your downline to operate at pace, backed by immediate telemetry for informed adjustments.
Product Stack
Access a complete suite through one partner panel. The sportsbook covers 50+ sports, including IPL cricket, EPL football, NBA, ATP tennis, Kabaddi PKL, F1, MotoGP, and virtual sports. The Asian Sportsbook supports handicap, over-under, 1X2, and quarter-line markets. Live Exchange enables peer-to-peer back/lay trading with depth and live data.
Casino includes 2,000+ titles from 15+ Tier-1 providers, spanning live tables, RNG classics, game shows, and localized content. Esports options include CS2, Dota 2, Valorant, and LoL, complete with major tournament coverage. Operators can enable or disable product families, set exposure per module, and control availability by geography or campaign.
Configuration is centralized: activate modules, assign market groups, and set visibility rules per downline node. The panel keeps entitlement changes auditable, so back-office teams can review who adjusted what and when. Real-time analytics quantify cross-sell impact across products, helping teams refine sequencing from sportsbook to exchange to casino.
Below is a comparison to evaluate operating approaches across funding, modules, and gateways.
| Operating Approach | Funding Model | Product Modules | Gateway Types |
|---|
| Prepaid Agent Platform (Gamting) | Prepaid credit; real-time balance | Sportsbook, Exchange, Casino, Asian Sportsbook | Fiat + Crypto (29+ gateways) |
| Post-Settlement Credit | Netting after events; dispute-prone | Often limited or vendor-specific | Usually fiat-first; crypto optional |
| White-Label Lease (Alternative) | Recurring fees; platform-bound | Varies by vendor; bundled | Provider-dependent integrations |
Agent Hierarchy
The hierarchy supports a structured, multi-level network without prescribing titles. Role separation allows partners to delegate day-to-day operations while retaining final oversight. Credit allocation cascades downward with configurable ceilings, and exposure can be shaped by product, market family, and time windows, minimizing unmanaged spikes.
Each node’s entitlements, credit, and risk constraints are independently configurable. You can ring-fence certain market groups, switch modules on or off, and define authentication policies. Downline creation is fast, with referral links and landing pages embedding attribution codes to preserve performance lineage across campaigns and sub-campaigns.
Centralized dashboards present roll-up and drill-down views: turnover, hold, exposure hotspots, and cash utilization. Filters isolate cohorts by geography, acquisition source, or time period. Audit logs document material actions, supporting internal controls and compliance reviews. This combination enables scale without surrendering clarity or operational discipline.
Practical example: allocate a capped credit pocket to a new regional node, limit exchange exposure during high-volatility windows, and permit casino for evening hours only. Monitor performance daily; if utilization remains healthy with stable hold, raise ceilings incrementally. If volatility increases, dial down specific market families temporarily.
Payments & Settlement
Payments span 29+ gateways, with fiat options such as UPI, IMPS, NEFT, RTGS, Visa, Mastercard, Maestro, domestic bank cards, and e-wallets. Crypto rails include USDT (TRC-20, ERC-20, BEP-20) and USDC. Gateway enablement is region-aware, ensuring methods align with local preferences and operational policies.
Prepaid credit eliminates post-settlement disputes by anchoring activity to available balance. The console displays live credit, reserved exposure, and settlement-ready amounts, so finance teams know what’s deployed and what remains deployable. Auto conversion helps align fiat and crypto inflows to a preferred operational currency without manual reconciliation delays.
Withdrawal and deposit rules are definable per region, with thresholds and velocity limits to guard against anomalies. Detailed transaction logs, gateway health indicators, and reconciliation exports are available to back-office staff. Scheduled statements summarize activity by node, method, and currency, accelerating end-of-day checks and monthly financial close.
Example workflow: top up USDT TRC-20 to seed weekend volume, convert a portion to operational fiat, and distribute credit pockets across downline nodes. As turnover accumulates, monitor exposure drains and refresh balances where necessary. On Monday, export reconciliation files and archive gateway reports for audit readiness.
Support
Partners receive 24/7 support through WhatsApp, Telegram, and email. Application reviews complete within 1–2 business days. Upon approval, you receive dashboard credentials and a marketing asset pack, including referral templates, banners, and landing page variants. A named point of contact coordinates onboarding, training sessions, and change management.
Operational training spans hierarchy setup, exposure governance, analytics interpretation, and payments. Playbooks detail routine tasks and incident response. Escalation paths route technical issues directly to specialists, shortening time to resolution. Status updates are proactive during high-traffic windows, with recommendations on throttling or entitlement adjustments when conditions warrant.
Distribution support includes PWA and APK builds for friction-light access where app stores are constrained. Regionalization guidance covers localization, payment preferences, and marketing compliance notes. We keep versioned documentation and a change log, so your teams can audit feature updates and plan training refreshers with minimal disruption.
Quarterly reviews benchmark KPIs, identify cross-sell opportunities between sportsbook, exchange, and casino, and refine credit allocation strategies. Security guidance and access hygiene recommendations help maintain a clean operating posture. The goal is to keep partners shipping reliably, with predictable exposure and clear financial control anchored by the prepaid model.
FAQ
How do I join the program?
Submit the application with business details, jurisdictions, and intended product scope. Reviews complete within 1–2 business days. On approval, you receive credentials, a marketing asset pack, and guidance for configuring hierarchy, exposure limits, and payment preferences.
Which products can I enable?
You can enable Sportsbook, Live Exchange, Casino with 2,000+ titles from 15+ providers, and Asian Sportsbook markets. Activate or deactivate modules per node, set exposure by product family, and apply geography-based availability rules as needed.
How does the hierarchy work without fixed titles?
The hierarchy is flexible, using generic nodes for your network. Assign credit, exposure caps, and entitlements at each level. You can delegate operations while retaining oversight through centralized analytics, audit logs, and role-based permissions.
What is the prepaid model in practice?
You load credit upfront and operate within that balance. The dashboard shows live credit, utilization, and reserved exposure. This approach reduces ambiguity, avoids post-event disputes, and supports timely reconciliations with clear financial boundaries.
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