Guides
Dive into the core concepts and integrate specific features.
Common workflows
A book transfer, by default, will move money from one of your Column accounts to another instantaneously.
Learn how to handle situations where the amount of an outgoing transfer can exceed the balance of the underlying bank account.
Learn more about money movement operations that require two steps to get funds where they need to go.
Get the details about steps you must take to get a live Column environment enabled and start moving real money.
Technical guides
Build a basic payment workflow consisting of a wire, a book transfer, and an ACH credit with Column's APIs.
Learn how to use our sandbox environment to test our APIs and learn how Column works.
Use settlement reports to reconcile your internal data with Column's ledger. Available in CSV, JSON, and Parquet formats.
Bring your own KYC/KYB process, or use our KYC/KYB verifications with support for manual reviewing.
Use cases
Originate wires, ACH and book transfers, and store money in an FBO account for your customers.
Programmatically open and manage FDIC insured bank accounts at Column on behalf of your customers. We support FBO, sweep, clearing and custom account types.
Partner with Column on lending to provide a variety of credit products to your customers.