Revenue stack

Adult site monetization
subscription · per-item · ads · affiliates

Most adult platforms do not have a monetization problem, they have a plumbing problem: rebills that fail silently, ad revenue nobody reconciles, affiliate payouts computed in a spreadsheet, and a dashboard that disagrees with the processor statement. We build the revenue layer as one system, so the number on the screen is the number that settles.

rebill
dunning that recovers
per-item
tips and unlocks
ads
network integration
payouts
affiliate and revshare
The problem

Why revenue leaks in the plumbing, not the pricing

Operators usually reach for a new price point when the actual loss is elsewhere: a failed rebill that never retried, an ad network paid on impressions the site under-counted, or an affiliate whose commission is calculated twice. None of these show up until someone reconciles the dashboard against the settlement, which is usually nobody.

Where it leaksTypical setupWhat we build
RebillsFailed charge, subscriber silently goneDunning sequence with retry schedule and card-updater
ReportingDashboard disagrees with the processorReconciliation against settlement files, differences flagged
Ad revenueTrust the network's numberOwn impression counter compared against network reporting
AffiliatesCommission in a spreadsheetTracked postbacks, revshare or PPS, payout run with an audit trail
Per-itemOnly one price for everythingTips, unlocks, bundles and time-limited access as separate flows
ChargebacksDiscovered at month endAlerts on the processor webhook, refund policy applied in-product
What we build

The revenue layer as one system

Subscription and rebill
Plans, trials, upgrades and a dunning sequence that actually recovers failed charges. Most platforms lose more to silent rebill failure than to churn people chose.
Per-item payments
Tips, unlocks, bundles and time-limited access. Different flows, one ledger, so a per-item buyer and a subscriber are the same customer record.
Ad integration
Network tags placed so they do not cannibalise the paywall, plus an own-side impression counter to compare against what the network reports.
Affiliate and revshare
Postback tracking, revshare or PPS, cookie window rules, and a payout run that leaves an audit trail instead of a spreadsheet.
Reconciliation
Processor settlement files parsed and matched against internal records, with the differences surfaced rather than averaged away.
Reporting
Revenue by source, cohort retention and lifetime value, on numbers that match the settlement. A dashboard nobody trusts is worse than none.
Start

Tell us where the revenue is now

Send the current model, the processor and roughly where you think the leak is. We will tell you what we would instrument first. NDA on day one.

FAQ

Common questions

Which processors do you integrate?
CCBill, Verotel, Segpay and Epoch for card rails, plus crypto checkout where the audience uses it. The choice is usually decided by the jurisdiction and the product type, not by preference.
Can you fix a stack we already have?
Usually yes, and it is often the cheaper route. We start by reconciling one month against the settlement, because that shows where the money is actually going before anything is rebuilt.
Subscription or per-item, which earns more?
It depends on the content cadence. Regular new content sustains a subscription; occasional high-value content earns more per item. We model both against your publishing rhythm before committing the architecture.
Do you handle payouts to performers?
We build the calculation and the audit trail. The transfer itself runs through your processor or payout provider - we do not move money on your behalf.