PesaBridge
Docs/En production/Transactions and reversals

En production

Transactions and reversals

Look up any transaction, reconcile a period, and request governed reversals.

3 min de lecture

Les guides développeurs sont rédigés en anglais pour que le code, les noms de champs et les messages d'erreur correspondent exactement à l'API.

Sur cette page
  1. Look up a transaction
  2. Reconcile a period
  3. Reversals

Look up a transaction

Shell
curl -s "https://pesa-bridge.com/api/bridgepay/v1/partner/transaction/status?ref=PB7H2K9Qmn" -H "Authorization: Bearer $TOKEN"

Reconcile a period

GET /partner/transactions?from=2026-09-01&to=2026-09-30&limit=500 lists your transactions for your books. Every PesaBridge movement is a balanced double entry, so totals always reconcile.

Reversals

POST /partner/reversal requests a reversal of a completed transaction. Reversals are maker-checker: nothing moves until an officer approves.

JSON
{ "transaction_id": "PB7H2K9Qmn", "reason": "duplicate", "note": "Customer paid twice" }

reason is one of error, duplicate, fraud, customer_request, dispute or system. Reversals honour the same second factor and result_url pattern as payouts.

Nos ingénieurs répondent aux questions d'intégration. Envoyez-nous la référence de la requête et nous retrouverons l'appel exact.

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