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A comprehensive and detailed list of each money movement event for the partner and its acceptors for a given funds release date or activity date, including: settlements, disputes, processing fees, and partner-collected fees. Use this report to reconcile partner and acceptor payments, get a detailed breakdown of a given funds release, and calculate acceptor profitability.

Report availability

The report is generated daily by 10:00 AM ET, encrypted, and placed in the outbound directory of an SFTP location dedicated for your use. (This schedule can be configured to later cadences to suit your needs, e.g., a later time in the day, every other day, weekly, monthly, etc.) Reports expire and are removed from the SFTP location after 14 calendar days.

Report format

  • CSV file, following the RFC 4180 standard
  • File name:
    • allocation-details_by-funds-release-date_{startdate:YYYYMMDD}-{endDate:YYYYMMDD}_{generationDate:YYYYMMDDThhmmss}.csv
    • allocation_by-activity-date_{startdate:YYYYMMDD}-{endDate:YYYYMMDD}_{generationDate:YYYYMMDDThhmmss}.csv
  • Values are separated using commas.
  • Values containing commas are enclosed within double quotes.
  • Values containing double-quotes are escaped by two double quote preceding it.