Merchant Settlement Statement provides a detailed summary of the transactions processed, associated fees, and the net payouts made to the merchant's bank account.
This statement is essential for businesses to track daily earnings, fees, and adjustments accurately.
Settlement statements can be downloaded from the Payments tab in Merchant Monitor.
A statement becomes available to merchants each business day at latest by 12:00 CET, provided that merchant had a positive account balance on given day.
Main components of a typical settlement statement: