Balance transactions
Balance transactions record every wallet movement and are the recommended source for daily reconciliation.
Key points
- Filter by type, reference_id, or currency and paginate through the ledger.
- Entries distinguish payment credits, fees, refund and dispute freezes or releases, payouts, and audited manual adjustments.
- Use CSV export for reconciliation and retain the transaction ID and reference ID in your own records.
Example
text
GET /v1/balance_transactions