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HomeFinance automationReportingSelect a report

Payout reconciliation report

Reconcile each payout with the batch of transactions it settles.

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You can also do payout reconciliation through the API.

The Payout reconciliation report helps you match the payouts you receive in your bank account with the batches of payments and other transactions that they relate to.

The payout reconciliation report is only available for users with automatic payouts enabled, and is optimised for users who prefer to reconcile the transactions included in each payout as a settlement batch. If you use manual payouts or prefer to track and reconcile your Stripe balance like a bank account, see the Balance report instead. To help you decide which report is right for you, see the guide for selecting reports.

Note

You control the timing and amount of instant payouts, so Stripe can’t identify which transactions are included in each payout. You’re responsible for reconciling instant payouts against your transaction history.

To get started, use the controls at the top of the screen to select a date range.

The Balance summary section shows your starting and ending Stripe balance for the selected date range, along with a high level summary of your activity during the period.

The Payout reconciliation section provides a breakdown of the automatic payouts that were received in your bank account during the selected date range. The transactions included in those settlement batches are grouped by reporting category.

The Ending balance reconciliation section provides a similar breakdown of the transactions that hadn’t been settled as of the report’s end date.

Downloading data

You can download the data displayed in each section of the report as a CSV file by clicking the Download button in the upper right corner of that section. Data is typically available the day after a payout is created. For example, all account activity on 16 April 2025 (from 12:00 am to 11:59 pm UTC) is available in the Payout reconciliation report tab by 17 April 2025 at 12:00 pm UTC. The Payout reconciliation and Ending balance reconciliation sections allow you to download multiple types of reports:

  • Summary: This downloads data in CSV format exactly as you see it in the Dashboard.
  • Itemised: This downloads the full list of individual transactions that are summarised in the Dashboard. You can include custom metadata associated with those transactions to speed up the reconciliation process.

In addition, you can download itemised data for a single category of transactions by hovering over that category and clicking Download.

Scheduled reports

To learn how to set up a subscription schedule for reports and get notified about new data, see Scheduled reports.

Available columns

You can customize the columns that appear in the reports when downloading them in the dashboard or through the Reporting API. The available columns in each type of report are described below.

Balance summary

Payouts reconciliation summary

Itemized payout reconciliation

Ending balance reconciliation summary

Itemized ending balance reconciliation

See also

  • Payout schedules FAQ
  • Payouts FAQ
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