Track the issued account expiry separately from player licences and expected payment dates.
The operating question
Track the issued account expiry separately from player licences and expected payment dates.
A reseller operation needs a consistent record of customer terms, expiry and the expected credit debit. The supplied panel preview is a guide to the interface, not a live balance record.

A repeatable working sequence
Track the issued account expiry separately from player licences and expected payment dates.
Before confirming a create, renewal or allocation, identify the intended line and available action. Record the opening balance, expected term and expected debit. After the action, inspect the resulting line and closing balance once.
If the result is unclear, check it before repeating the action. Keep the request reference and approximate time for support. A slow response and an unsuccessful debit are not the same outcome.
Protect customer and operator access
Keep customer identifiers and service terms in an appropriate private record. Store account credentials separately from a public note. Restrict manager access to the people who need it and use available additional verification.
Only advertise options confirmed for the issued package. White-label, sub-reseller and distributor controls need direct confirmation even when a related menu appears in a source screenshot.
Use the supplied model for a calculation
Under the standard source model, one customer month uses one credit. At $1.79 per credit, twelve months cost $21.48; at $1.49, the same twelve credits cost $17.88. Other operating expenses still need to be considered.