--- title: "Reconcile fund transfers" description: "Track payouts (bank transfers) and internal transfers in your payout account." url: "https://docs.adyen.com/payouts/payout-service/reconciliation-use-cases/reconcile-transfers" source_url: "https://docs.adyen.com/payouts/payout-service/reconciliation-use-cases/reconcile-transfers.md" canonical: "https://docs.adyen.com/payouts/payout-service/reconciliation-use-cases/reconcile-transfers" last_modified: "2026-05-26T13:48:55+02:00" language: "en" --- # Reconcile fund transfers Track payouts (bank transfers) and internal transfers in your payout account. [View source](/payouts/payout-service/reconciliation-use-cases/reconcile-transfers.md) To track and verify fund transfers to/from your payout account: * Track fund transfers through their lifecycle. * Verify transaction webhooks with the Balance Platform [Accounting Report](/payouts/payout-service/reports-and-fees/balance-platform-accounting-report) or Balance Platform [Statement Report](/payouts/payout-service/reports-and-fees/statement-report) to ensure all webhooks have been processed. You can combine transaction webhooks with the Balance Platform [Accounting Report](/payouts/payout-service/reports-and-fees/balance-platform-accounting-report) or Balance Platform [Statement Report](/payouts/payout-service/reports-and-fees/statement-report) to reconcile transfers by using the **transaction PSP reference**, **Status** and **Amount**. To identify funds transfers, search for matches for the following `category` and `type` values: | Type of fund transfer you want to identify | `category` | `type` | | ------------------------------------------ | ------------ | -------------------- | | Internal funds transfers | **internal** | **internalTransfer** | | Payout to a third-party bank account | **bank** | **bankTransfer** | | Payout to a third-party card | **card** | **cardTransfer** |