Reconciling your Paddle payouts just got easier. The Payout Reconciliation Report in Paddle Billing links payouts back to the buyer transactions behind them, showing revenue, taxes, Paddle fees, FX, and adjustments in one place.
Now your finance team can reconcile payouts faster, with greater confidence and transparency. While invoices remain the official record of Paddle’s fees, this report gives you the detailed breakdown you need for financial reporting and compliance.
— Kate Hanley, Product Manager