The manual explains how to run payment flows in CryptMeUp from setup to checkout handling. Use it as the operational reference for merchants and teams.
Start with Transactions to choose the right payment model for your use case, then open Checks to understand which account controls are required before merchants can run live payments.
The manual is written as operational documentation, not marketing copy. If you need to decide how a flow behaves in practice, what a merchant must complete, or which transaction type belongs to a real business scenario, this section should be the first reference point.
Section
Transactions
Overview and flow guides for one-time, reusable, and dynamic checkout requests.
Open sectionSection
Access Checks
What checks are required, why they exist, which parts are automated, and what merchants must complete to unlock transaction access.
Open section