Queues
Queues enable you to control or bundle transactions.
This feature may be helpful where refund periods are legally required, or
to minimize transaction/mining fees (for you, in Output Queues).
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INPUT Queues
Queues for SELL Transactions, where fiat issuance must be controlled or monitored.
OUTPUT Queues
Queues for BUY Transactions, where coin purchases may be a concern and require special consideration.
Useful for mining fee efficiency (via batching).
Enable manual control over transmissions.
Enable compliance with refund (hold) period mandates.
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New Customer Queues
When implemented, your KYC settings may dictate that a customer is βnewβ and warrants closer inspection.