• User Documentation 
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  • User Documentation 
  • Amaryllis Release Notes 
  • For Developers 

User Guide

  • folder icon closed folder iconGetting Started
    • Logging In for the First Time
    • System Hierarchy
    • Hierarchy Usage and Summary View
    • Understand Fee and Commission
    • Understanding Reports
    • Making Configuration Easier
  • folder icon closed folder iconSystem Administration
    • Putting It All Together
    • System Setup Flow
    • Platform Account Administration
    • Platform Account Configuration
    • Service Provider Administration
    • Service Provider Configuration
    • Operator and Service Provider Branding Settings
    • Sub-Account Administration
    • Sub-Account Configuration
  • folder icon closed folder iconUser Administration
    • System Users and Functionality
    • Back Office User Administration
    • API User Administration
    • Agent Administration
    • Agent Configuration
  • folder icon closed folder iconReporting
    • Report Menu
    • Account Balance
    • Payouts
    • Payouts Reconciliation
    • Settlements
    • Approval Rate
    • Transaction Summary
    • Transactions
    • Fees Summary
    • Incoming Fees
    • Expected Future Revenue
    • Profitability Analysis Report
    • Reconciliation Summary
    • Reconciliation Records
    • Chargeback Analysis
    • Tokens Report
    • Merchant Statement
    • Management Level Reports (Operator, Service Provider, Agent, Platform)
  • folder icon closed folder iconAlerts Center
    • Rules Management
    • Alerts Management
    • Active Alerts
    • Resolved Alerts
  • folder icon closed folder iconUnderwriting Management
    • Underwriting Templates
    • Underwriting Template Configuration
    • Underwriting Application
    • Underwriting Application Configuration
    • Managing Underwriting Application
    • Sign-Up Summary
  • folder icon closed folder iconDisputes Management
    • Active Disputes
    • Resolved Disputes
  • folder icon closed folder iconTransactions Processing
    • Transaction Types
    • Import Mode
    • Echo Mode
  • folder icon closed folder iconDashboards
    • Financials
    • Management
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  5. Settlements
Updated on January 30, 2023

User Guide

  • folder icon closed folder iconGetting Started
    • Logging In for the First Time
    • System Hierarchy
    • Hierarchy Usage and Summary View
    • Understand Fee and Commission
    • Understanding Reports
    • Making Configuration Easier
  • folder icon closed folder iconSystem Administration
    • Putting It All Together
    • System Setup Flow
    • Platform Account Administration
    • Platform Account Configuration
    • Service Provider Administration
    • Service Provider Configuration
    • Operator and Service Provider Branding Settings
    • Sub-Account Administration
    • Sub-Account Configuration
  • folder icon closed folder iconUser Administration
    • System Users and Functionality
    • Back Office User Administration
    • API User Administration
    • Agent Administration
    • Agent Configuration
  • folder icon closed folder iconReporting
    • Report Menu
    • Account Balance
    • Payouts
    • Payouts Reconciliation
    • Settlements
    • Approval Rate
    • Transaction Summary
    • Transactions
    • Fees Summary
    • Incoming Fees
    • Expected Future Revenue
    • Profitability Analysis Report
    • Reconciliation Summary
    • Reconciliation Records
    • Chargeback Analysis
    • Tokens Report
    • Merchant Statement
    • Management Level Reports (Operator, Service Provider, Agent, Platform)
  • folder icon closed folder iconAlerts Center
    • Rules Management
    • Alerts Management
    • Active Alerts
    • Resolved Alerts
  • folder icon closed folder iconUnderwriting Management
    • Underwriting Templates
    • Underwriting Template Configuration
    • Underwriting Application
    • Underwriting Application Configuration
    • Managing Underwriting Application
    • Sign-Up Summary
  • folder icon closed folder iconDisputes Management
    • Active Disputes
    • Resolved Disputes
  • folder icon closed folder iconTransactions Processing
    • Transaction Types
    • Import Mode
    • Echo Mode
  • folder icon closed folder iconDashboards
    • Financials
    • Management

Settlements

The Settlement report provides your Sub-Account settlement balance breakdown.  Settlement is the net calculated transfer amount from Buyers to Merchants (Sellers). Sales (Charges, Captures, Partial Captures), Incoming Fees, Reversals generate a positive settlement balance. Credits (Credits, Refunds, Partial Refunds, Cancels), Chargebacks and Outgoing Fees generate a negative settlement balance.
In case Sale and Cancel do not belong to the same Settlement, Sale transaction is included in Number Of Sales and Amount of Sales and Cancel transaction is included in Number Of Credits and Amount of Credits.
Incoming Fees are Fees the Merchant (Sub-Account) receives from other entities, Outgoing Fees are Fees the Merchant (Sub-Account) has to pay to other entities.

Settlement Report Filter

Use report filter to narrow down your search.
  • To display a report for a specific Sub-Account, select Service Provider, Platform Account, and Sub-Account. The prior selection determines the latter available options.
  • Use the Date Range filter tab to get a report for a specific date or a date range.
The Settlements report is based on the configured Cut-Off time. All Sale transactions canceled BEFORE the Cut-off are not included in Number Of Sales and Amount of Sales
  • In the Transaction Details filter tab, you can choose Payment Method, Terminal Id, and Currency. In case a Sub-Account is selected, the currency type is auto populated with the Sub-Account’s currency.
  • In the Processor Details filter tab, you can choose the external Processor.
  • The last filter tab allows to set the report periodicity.
Cross-Report Navigation You can use embedded in the report hyperlinks to navigate to relevant reports:
  • Click Amount of Sales, Number of Sales, Number of Credits, Number of Chargebacks, Amount of Chargebacks in the report grid to navigate to the Transactions Report.
  • Use Transactions Report to display transactions details and perform actions on your processed transactions.
  • Click Outgoing Fees in the report header to navigate to the Fees Summary Report
  • Click Interchange Fees in the report header to navigate to the Fees Summary Report
  • Click Reserve Fees in the report header to navigate to the Fees Summary Report
  • Click Incoming Fees in the report header to navigate to the Incoming Fees Report
Settlement Balance Settlement report provides your Sub-Account settlement balance breakdown: Settlement Balance = Sales – Credits – Chargebacks – Fees. You can use it to determine whether your Sub-Account has a positive or negative trade balance on a specific date. Settlement balance shows the Sub-Account net liquidity balance.
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