Bank Details
Bank details are managed in Step 4 of the onboarding wizard. They store the owner’s banking information for monthly revenue payouts.
All data is encrypted using AES-256 and stored in a separate encrypted database.
Key Points
Section titled “Key Points”- Multiple bank accounts can be added per villa (useful for multi-currency payouts)
- The primary account is used for all default payouts
- Bank details are verified before the first payout
- All transactions are logged and auditable
Fields Stored per Account
Section titled “Fields Stored per Account”| Field | Description |
|---|---|
| Account Holder Name | Name on the account |
| Bank Name | Name of the bank |
| Account Number | Masked by default |
| SWIFT / BIC Code | International identifier |
| IBAN | International account number |
| Currency | Payout currency (THB, USD, EUR, etc.) |
| Account Type | Checking or Savings |
| Branch Name / Code | Branch details |
| Bank Address | Physical branch address |
| Bank Country | Country of the bank |
For full field-by-field documentation, see Step 4 — Bank Details.