The financial layer under affiliate operations

Power your finance ops with precision

Software for affiliate payouts, PSP cost control, real-time data integration and traffic ROI insights — each its own platform, each deployed inside your perimeter.

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Smarter finance for performance marketing

Cut through
the complexity.

Built for advertisers, networks and online platforms juggling high-volume affiliate and payment operations — where the platform, the settlement file and the bank statement rarely agree.

Software that drives results

Products that take
high-volume finance to a new level.

  • 01Integration GatewayAPI + SFTP
  • 02Affiliate PaymentsBusiness Central
  • 03PSP Fees ReconciliationSQL Server
  • 04Traffic & ConversionPower BI
Deployment
On-premiseyour perimeter
Stack
MicrosoftBC · SQL Server · Power BI
Products
Modulardeploy only what you buy
Engineering
36across 4 teams
Support
24/7to the build team
In production
3 networks300–1,000 affiliates
Processing, each month
Affiliates
~4,800
Payment transactions
750,000
Countries
117

Products that take high-volume finance to a new level.

Accounting lives in Business Central. Volume reconciliation lives on SQL Server. Analysis lives in Power BI. Integration sits in between. Each module is built where its job actually lives — and each deploys on its own, so you run only what you buy.

Plug in. Sync up. Stay in control.

Integration Gatewayintegration middleware · API + SFTP

Instant connections to 40+ partners. Secure, fast, and fully customizable — point it at storage on your server, add credentials from your partner accounts, and data starts landing.

  • Scheduled pull or real-time push, per provider
  • Auto field mapping and enrichment on load
  • Secure on-premise setup
SOURCE SCHEDULE YOUR PERIMETER · ON-PREMISE Payment providers webhook · push, on event Gateways SFTP · pull, nightly Partner platforms REST · push, on event Banks camt.053 · pull, nightly Integration Gateway map provider fields → your schema enrich derived fields added on load serialise one shape for every source Storage you control on your server Broken ticks  ·  collected on a schedule    Solid rail  ·  arrives on its own Credentials stay with you  ·  illustrative
SourceModeObjectVolumeStatus
acq_eupullsettlements_0825.csv1,204 rowsmapped ✓ apm_aggpushwebhook batch388 eventsmapped ✓ wallet_01pulltx_export.json2,051 rowsenriched ✓ bank_cypullcamt.053117 entriesmapped ✓ partner_nrpushaffiliate_stats4,800 rowsmapped ✓ acq_latampullsettlements_0825.csv966 rowsenriched ✓ acq_eupullsettlements_0825.csv1,204 rowsmapped ✓ apm_aggpushwebhook batch388 eventsmapped ✓ wallet_01pulltx_export.json2,051 rowsenriched ✓ bank_cypullcamt.053117 entriesmapped ✓ partner_nrpushaffiliate_stats4,800 rowsmapped ✓ acq_latampullsettlements_0825.csv966 rowsenriched ✓

Take full control of affiliate payouts.

Affiliate Payments Moduleadd-on to Dynamics 365 Business Central

Track debts, reconcile payments, and auto-generate accounting entries directly from your ERP. If Business Central — or NAV, its earlier name — is your book of record, it installs into the system you already run.

  • Supports multiple payout models
  • Invoice-ready, exportable reports
  • Designed to reduce manual support work
Dynamics 365 Business Central · Affiliate Payments
Affiliate Payments Module inside Business Central — payment amounts, approval status, accrual dynamics

Know what you're really paying.

PSP Fees ReconciliationSQL Server data warehouse · on-premise

Spot fee mismatches, track provider costs, and regain control over commissions and margins — every charge recalculated against your contract, transaction by transaction.

  • Contract-level fee validation
  • Powered by SQL-based DWH architecture
  • Actionable cost-optimization insights
psp-fees · validation runidle
period2025-08 transactions322,741
ProviderTxnsContracted
→ charged
Variance
Card acquirer · EU128,4421.40% + €0.25·
APM aggregatorapm_agg96,1101.20% + €0.101.35% + €0.10·
Wallet provider54,9080.90%·
Card acquirer · LATAMacq_latam31,2772.60% + $0.302.60% + $0.42·
Direct debit12,004€0.35 flat·

0 of 5 providers checked  ·  0 billing outside contract terms  ·  illustrative output, not client data

Spend only on traffic that delivers results.

Traffic & ConversionMicrosoft Power BI

Measure, score, and act on traffic efficiency with daily insights via Power BI. Analysis and alerts — the budget decision stays with your team.

  • Conversion tracking per source
  • Budget-friendly allocation
  • Real-time alerts for performance drops
Cost vs return by source cost return indexed · cost = 100 = break-even · illustrative 0 50 150 100 +38% +61% −22% +42% +18% src A100 → 138 src B100 → 161 src C100 → 78 src D100 → 142 src E100 → 118 src C returning less than it costs — flagged for review

Why Miraxtech?

Secure

On-premise, zero data exposure.

Transaction data never leaves your infrastructure, and there is no Miraxtech cloud holding a copy of it.

Flexible

Modular tools, ERP-ready.

Separate platforms, so you deploy only what you buy. Start with one, add another when the need is real.

Fast

Quick setup, low maintenance.

Standards-based, so Business Central version upgrades don't break the integration.

Insightful

BI-ready data models out of the box.

Data lands structured for analysis — provider, product, project, geography — with Power BI templates included.

Who's it for?

CPA networks & advertisers

Hundreds of affiliates on different payout models, currencies and schedules — and an ERP that has to agree with all of it at month end.

Enterprise teams using ERP

Dynamics 365 Business Central as the book of record, needing clean entries rather than another export to reconcile by hand.

Media & traffic agencies

Many sources, many partners, and cost attribution that stopped fitting in a spreadsheet several quarters ago.

E-commerce & subscription platforms

Online acquiring at volume across multiple providers, where fee drift stays invisible until someone recalculates every transaction.

Three steps before anyone signs anything

1

You send your setup

ERP, affiliate platform, payment providers, payout models. A list, not a call.

2

We map it against what's built

A specific written answer: which modules fit, what's covered today, what would need building.

3

You decide with real information

If the fit isn't there — wrong ERP for the accounting module, wrong shape — we say so at this step, before anyone has spent money finding out.

After go-live: 24/7 support, escalation to the team that built the module — 36 engineers, four teams, no tier between you and them.

Ready to simplify your finance ops?

Send us the providers and platforms you work with and the payout models you run — we’ll tell you which modules fit, what’s already built, and what needs building.