A MAC reseller here isn't a discount tier — it's a mini-ISP with its own parallel universe of data: its own billing periods, employees and payroll, geographic hierarchy, packages, SMS and payment-gateway config, support system, and crucially its own independent chart of accounts. Resellers operate under their own brand through a dedicated portal and a JWT REST API, with customer IDs built from configurable prefix/infix/postfix.
A real prepaid fund-settlement engine sits behind it: recharge credits the reseller, their customers' bills auto-debit the balance, and a low balance auto-blocks new-customer creation — with multi-level reseller hierarchies that deduct from a parent and credit back on refund, plus a credit-refund policy for customers who disconnect before period end. The accounting boundary is deliberate and clean: admin→reseller funding posts to your books; the reseller's own client billing posts to theirs — two-tier financials with no cross-contamination. Pro-rated, enabled-days billing is computed day-by-day, and you can "Login As Reseller" to support them without their password.
Isolated
books per reseller
Multi-level
reseller hierarchy

Capabilities
How it works
Onboard
Add a reseller with their own tariff, zones, ID format and module access; recharge their fund.
Bill automatically
Their customers' bills auto-debit the prepaid fund; a low balance blocks new connections on its own.
Keep books clean
Your funding hits your ledger; their operations hit theirs — never mixed.
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