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The Withdrawal Payout Details page contains information about a specific withdrawal payout associated with your account , and includes details about the withdrawalpayout, alerts, and disbursement information.

Navigate to the Withdrawal Payout Details page by following the steps below:

  • Step 1: Click on Withdrawals Payouts under Admin in the left-hand navigation panel.

  • Step 2: Find the specific Withdrawal Payout in the Withdrawal Payout History table, and click on any information the Payout Details button to open the Withdrawal Payout Details page.

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Payout Details Features

Disbursement Details

The Disbursement Details section is located at the bottom of the page, and contains information about how the disbursement occurred following the withdrawal transaction, including the following fields:

Disbursement Details Actions

You can download the disbursement details from the Withdrawal Details page by clicking the .XLS or .CSV icons in the upper right-hand corner of the section.
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titleClick here to view the features of the Withdrawal Details page.
Withdrawal

Payout Details Information Banner

The Withdrawal Payout Details information banner, located at the top of the page, contains an overview of the specific withdrawalpayout. The following information is included in the information banner:

Information Banner Field Name

Description

Withdrawal Status

The status of the withdrawal: Approved, Pending, or Failed. The withdrawal status also includes the date that the status was last updated.

Withdrawal Amount

The dollar amount of the withdrawal.

Withdrawal Date

The date that the withdrawal transaction occurred.

Processed Date

The date that the withdrawal transaction was processed.

Schedule

The frequency of the withdrawal for withdrawal schedules, shown as daily, weekly, monthly, or yearly.

Account

The number of the account that funds the scheduled payment.

Entity

The entity associated with the withdrawal transaction.

Disbursement Details Field Name

Description

Trace Number

A 15-digit number that represents the entry detail record based on the merchant's bank routing number. 

Amount

The dollar amount of the disbursement associated with the withdrawal.

Platform

The platform terminal on which withdrawal transaction was processed.

Disbursement Totals

Additional details of the disbursement including the types of transactions, a count of each transaction type, the monetary amounts for each type, and the amount disbursed into your account.

Trace Number

Sales, Refunds, Debits, Miscellaneous Fees, Chargebacks, Rollovers, Payout Failures

Amount

Number of Entries for the type.

Platform

The processor that processed the payout disbursement.

Payout Details Table

The Payout Details Table supports the following actions: view your total credits, debits and disbursed amounts making up the payout, reconcile the payout with the reconciliation table, and review each type of transaction, charge, or fee making up the amount you received in your payout.

  • To view the total credits, debits, and disbursed amounts in your payout, scroll to the bottom of the table and view the “Total” row.

  • To compare your transactions against the payout and reconcile, click on a listed “Type” column, such as Sales, and review each listed transaction making up the total credit (gross sales), debits (fees), and disbursed (net sales) comparatively, checking off each transaction you match to your records.

  • To review each positive or negative transaction type making up the payout, hover over the “?” icon next to the “Type” column Title and a description of what the type is will be displayed.

Download the Payout Details report from the Payout Details page by clicking the Download button in the upper right-hand corner of the section.

Payout Details Table Column Name

Description

Type

Sales, Refunds, Debits, Miscellaneous Fees, Chargebacks, Rollovers, Payout Failures

Count

Number of Entries for the type.

Credit

The total number of credits in the disbursement (deposited fund)

Debit

The total number of debits (charges)

Reconciliation Table

Each row reflects the total dollar amount received or charged to your business during transaction processing to outline each component making up the amount you received in your payout.

When clicking the dropdown next to a listed column title, a table that lists the specific sale transactions, their fees, and your overall Net Sales for each transaction. Each Payout Details table row will display the following columns:

Sales Row Table Columns

Description

Checkbox

A display-only check confirmation used for reconciliation to confirm you’ve already reviewed/reconciled a listed transaction.

Date

The date the listed transaction was first captured/processed.

Gross Sales

Displays the total amount of the listed transaction’s revenue before fees.

Fees

Any transaction processing-related fees assessed by your Referrer.

Net Sales

The actual amount received from transaction revenue after fee deductions.

Transaction ID

The transaction ID identifying the transaction listed.

Order Number

The order number associated with the transaction, if applicable.

Card Number

The credit card number used by the customer in the listed transaction.

Description

The custom transaction description, if available.

Email

The email address for the transaction customer.

Type

Will be listed as “Sale”

Zip

The zip code for the transaction customer address.

Custom Discretionary Field 1

An optional field to associate with your transactions such as a customer CRM ID, or another form of identifier used on your platform to help organize, track, and report on transactions.

Custom Discretionary Field 2

An optional field to associate with your transactions such as a customer CRM ID, or another form of identifier used on your platform to help organize, track, and report on transactions.

Custom Discretionary Field 3

An optional field to associate with your transactions such as a customer CRM ID, or another form of identifier used on your platform to help organize, track, and report on transactions.

Reconciliation Table Actions

The reconciliation table displayed for each transaction type in the payout can be utilized to reconcile each transaction in your payout by manually checking the box next to each transaction after matching it with your accounting records.

You can also add additional info columns to help you reference each transaction, as shown above.

Related Pages

Click the links or items on the Withdrawal Payout Details page to access any of the following pages: