{"title":"Marketpay Payout Report","category":"default","creationDate":1776961628,"content":"<div class=\"additional-info-block output-inline\">\n<h5 class=\"article__heading additional-info-block__title\">Time zones<\/h5><div class=\"additional-info-block__body\"><p>Your <a href=\"\/pt\/reporting\/time-zone-setting\">time zone setting<\/a> affects the data in this report.<\/p><\/div><\/div>\n\n<p>The\u00a0Marketpay Payout Report is only available for <a href=\"\/pt\/classic-platforms\/payouts\">Automatic payouts<\/a> and provides information about automatic payouts that were initiated within the day. The report also includes which account holders have been paid out and which transactions (both debits and credits) were part of the payout.<\/p>\n<p>To get the transactions included in the payout for a particular account, filter the report using the <span translate=\"no\"><strong>Account holder<\/strong><\/span>, <span translate=\"no\"><strong>Account<\/strong><\/span>, and <span translate=\"no\"><strong>Currency<\/strong><\/span> columns. We generate one record line per account, per currency.<\/p>\n<p>If an account has pending transactions (for example, a pending refund or chargeback), the amount is withheld from the payout amount. In such cases, the payout line of that account shows a non-zero rolling balance. The rolling balance is added to the balance of the next report, so you can use these reports to make a full reconciliation.<\/p>\n<p><strong>Report name format<\/strong>: marketpay_payout_<span translate=\"no\"><strong>YYYY_MM_DD<\/strong><\/span>.csv<br \/>\n<strong>Subscription<\/strong>:\u00a0Subscribe to this report in your <a href=\"https:\/\/ca-live.adyen.com\/\" target=\"_blank\" rel=\"nofollow noopener noreferrer\" class=\"external-link no-image\">Customer Area<\/a>.<br \/>\n<strong>Frequency<\/strong>: Daily, Weekly, or Monthly<\/p>\n<h2>Sample<\/h2>\n<p><a href=\"\/pt\/reporting\/settlement-reconciliation\/transaction-level\/marketpay-payout-report\/SAMPLE_marketpay_payout_report_2020_03_17.csv\">Download a sample Marketpay Payout Report<\/a> for examples of the included data.<\/p>\n<h2 id=\"report-structure\">Structure<\/h2>\n<p>The first line of the report shows <span translate=\"no\"><strong>Marketpay Payout Report<\/strong><\/span>. The second line is the header line containing the following information.<\/p>\n<h3 id=\"entries\">Entries<\/h3>\n<p>Under the header line, each line in the report is a separate entry.<\/p>\n<h3 id=\"columns\">Columns<\/h3>\n<p>Each column shows specific information about the entries.<\/p>\n<table>\n<thead>\n<tr>\n<th>Column #<\/th>\n<th>Column<\/th>\n<th>Data type<\/th>\n<th>Description<\/th>\n<\/tr>\n<\/thead>\n<tbody>\n<tr>\n<td>1<\/td>\n<td>Market Place<\/td>\n<td>Unicode Text<\/td>\n<td>Name of your marketplace or platform.<\/td>\n<\/tr>\n<tr>\n<td>2<\/td>\n<td>Account Holder<\/td>\n<td>Unicode Text<\/td>\n<td>The <code>accountHolderCode<\/code> you provided when you created the account holder.<\/td>\n<\/tr>\n<tr>\n<td>3<\/td>\n<td>Account<\/td>\n<td>Unicode Text<br>(9- or 16-character limit)<\/td>\n<td>The <code>accountCode<\/code> of the account that belongs to the account holder.<\/td>\n<\/tr>\n<tr>\n<td>4<\/td>\n<td>Record Type<\/td>\n<td>Unicode Text<\/td>\n<td>The type of record included in a report. See <a href=\"#record-types\">Record types<\/a> for a list of possible values.<\/td>\n<\/tr>\n<tr>\n<td>5<\/td>\n<td>Psp Reference<\/td>\n<td>Unicode&nbsp;Text<br>(16-character limit)<\/td>\n<td>PSP reference for the action in the Adyen for Platforms system.<\/td>\n<\/tr>\n<tr>\n<td>6<\/td>\n<td>Payment Psp Reference<\/td>\n<td>Unicode Text<br>(16-character limit)<\/td>\n<td>PSP reference of the payment in the PSP system\/Customer Area. Can be empty if the action is not related to a payment.<\/td>\n<\/tr>\n<tr>\n<td>7<\/td>\n<td>Payment Merchant Reference<\/td>\n<td>Unicode Text<br>(80-character)<\/td>\n<td>The reference you provided when you submitted the payment.<\/td>\n<\/tr>\n<tr>\n<td>8<\/td>\n<td>Capture Psp Reference<\/td>\n<td>Unicode Text<br>(16-character limit)<\/td>\n<td>PSP reference for modification requests, such as a capture, refund, or chargeback request.<\/td>\n<\/tr>\n<tr>\n<td>9<\/td>\n<td>Capture Merchant Reference<\/td>\n<td>Unicode Text<br>(80-character)<\/td>\n<td>The reference you provided when you submitted a modification. When the <a href=\"\/pt\/online-payments\/capture#delayed-automatic-capture\">capture delay<\/a> is set to immediate, the value here is set to <strong>auto<\/strong>.<\/td>\n<\/tr>\n<tr>\n<td>10<\/td>\n<td>Payout Psp Reference<\/td>\n<td>Unicode Text<br>(16-character limit)<\/td>\n<td>PSP reference of a payout.<\/td>\n<\/tr>\n<tr>\n<td>11<\/td>\n<td>Chargeback Psp Reference<\/td>\n<td>Unicode Text<br>(16-character limit)<\/td>\n<td>PSP reference of a chargeback.<\/td>\n<\/tr>\n<tr>\n<td>12<\/td>\n<td>Booking Date<\/td>\n<td>Date field +<br>Time field<\/td>\n<td>Timestamp created when the booking was submitted.<\/td>\n<\/tr>\n<tr>\n<td>13<\/td>\n<td>TimeZone<\/td>\n<td>Alpha Text<br>(4-character limit)<\/td>\n<td>Timezone in which the report was generated.<\/td>\n<\/tr>\n<tr>\n<td>14<\/td>\n<td>Currency<\/td>\n<td>Alpha Text<br>(3-character limit)<\/td>\n<td>Currency in which the action was performed or in which the payment\/payout\/fundTransfer was submitted.<\/td>\n<\/tr>\n<tr>\n<td>15<\/td>\n<td>Amount<\/td>\n<td>Fixed point number<\/td>\n<td>Amount defined in the split item line in the payment or payout\/fundTransfer request.<\/td>\n<\/tr>\n<tr>\n<td>16<\/td>\n<td>Rolling Balance<\/td>\n<td>Fixed&nbsp;point&nbsp;number<\/td>\n<td>Balance remaining in the account after the payout. This is usually 0, except when balance is withheld (for example, when there is a pending refund). The rolling balance is added to the next report's rolling balance.<\/td>\n<\/tr>\n<\/tbody>\n<\/table>\n<h2>Record types<\/h2>\n<table>\n<thead>\n<tr>\n<th>Record type<\/th>\n<th>Description<\/th>\n<\/tr>\n<\/thead>\n<tbody>\n<tr>\n<td>Credited<\/td>\n<td>The funds have settled<\/td>\n<\/tr>\n<tr>\n<td>.<\/td>\n<\/tr>\n<tr>\n<td>CreditReversed<\/td>\n<td>Adyen did not receive the funds and debits the original credited amount from the account.<\/td>\n<\/tr>\n<tr>\n<td>CreditFailed<\/td>\n<td>The capture failed due to a technical issue, no funds were credited to the account.<\/td>\n<\/tr>\n<tr>\n<td>Debited<\/td>\n<td>The funds were refunded<\/td>\n<\/tr>\n<tr>\n<td>.<\/td>\n<\/tr>\n<tr>\n<td>DebitedReversed<\/td>\n<td>An initiated refund was returned to Adyen and the funds are booked back to the account. For example, when the bank account of the cardholder was closed.<\/td>\n<\/tr>\n<tr>\n<td>DebitFailed<\/td>\n<td>The refund failed due to a technical issue, no funds were debited from the account.<\/td>\n<\/tr>\n<tr>\n<td>Chargeback<\/td>\n<td>Debit for a payment that was reversed by the bank, scheme, or the customer.<\/td>\n<\/tr>\n<tr>\n<td>ChargebackReversed<\/td>\n<td>A previous chargeback was reversed after a payment was successfully defended, or after the shopper repaid.<\/td>\n<\/tr>\n<tr>\n<td>SecondChargeback<\/td>\n<td>Debit for unsuccessful defense of a first chargeback.<\/td>\n<\/tr>\n<tr>\n<td>FundTransfer<\/td>\n<td>Funds were transferred from one account to another.<\/td>\n<\/tr>\n<tr>\n<td>Payout<\/td>\n<td>Funds were paid out to the account holder.<\/td>\n<\/tr>\n<tr>\n<td>VirtualAccountPayoutReturned<\/td>\n<td>A payout could not be completed and the funds were returned to the account holder. For example, when the bank account of the cardholder is closed.<\/td>\n<\/tr>\n<tr>\n<td><div data-component-wrapper=\"tag\">\n    <tag :variant=&quot;default&quot;>\n        Deprecated\n    <\/tag>\n<\/div>\n  ManualCorrected<\/td>\n<td>Manual booking or adjustment by Adyen, used in existing platforms.<br><br> For new platforms, this record type is replaced by the <a href=\"#contact-support\">new record types<\/a>: ManualCorrectionCredited and ManualCorrectionDebited.<\/td>\n<\/tr>\n<tr>\n<td>TransferBalance<\/td>\n<td>Aggregate amount of debits and credits to the liable account. In previous versions of the report, this amount includes payment costs. <br><br> For new platforms, the TransferBalance only contains the aggregate amount of credits and debits that could not have been booked due to missing split instructions, missing split reference, or a technical issue. Other debits and credits are reported under <a href=\"#contact-support\">new record types<\/a>. For example, payment costs are reported under record type <strong>Fee<\/strong>.<\/td>\n<\/tr>\n<tr>\n<td><div data-component-wrapper=\"tag\">\n    <tag :variant=&quot;success&quot;>\n        New\n    <\/tag>\n<\/div>\n&nbsp;Fee<a href=\"#contact-support\">\n  <strong>*<\/strong>\n<\/a><\/td>\n<td>Adyen fees booked against your platform's liable account during the specified period. This is enabled by default for new platforms.<\/td>\n<\/tr>\n<tr>\n<td><div data-component-wrapper=\"tag\">\n    <tag :variant=&quot;success&quot;>\n        New\n    <\/tag>\n<\/div>\n&nbsp;DepositCorrection<a href=\"#contact-support\">\n  <strong>*<\/strong>\n<\/a><\/td>\n<td>Funds withheld from or released to your platform's liable account due to a change in the required security deposit (coverage of the exposure on the account). This is enabled by default for new platforms.<\/td>\n<\/tr>\n<tr>\n<td><div data-component-wrapper=\"tag\">\n    <tag :variant=&quot;success&quot;>\n        New\n    <\/tag>\n<\/div>\n&nbsp;InvoiceDeduction<a href=\"#contact-support\">\n  <strong>*<\/strong>\n<\/a><\/td>\n<td>Represents a monthly invoice that is credited to or debited from your platform's liable account. This is enabled by default for new platforms.<\/td>\n<\/tr>\n<tr>\n<td><div data-component-wrapper=\"tag\">\n    <tag :variant=&quot;success&quot;>\n        New\n    <\/tag>\n<\/div>\n&nbsp;MerchantPayin<a href=\"#contact-support\">\n  <strong>*<\/strong>\n<\/a><\/td>\n<td>A credit transfer or direct debit booked in your platform's liable account. This is enabled by default for new platforms.<\/td>\n<\/tr>\n<tr>\n<td><div data-component-wrapper=\"tag\">\n    <tag :variant=&quot;success&quot;>\n        New\n    <\/tag>\n<\/div>\n&nbsp;MerchantPayinReversed<a href=\"#contact-support\">\n  <strong>*<\/strong>\n<\/a><\/td>\n<td>A payment meant to top up or fund your platform's liable account goes through a chargeback. This is enabled by default for new platforms.<\/td>\n<\/tr>\n<tr>\n<td><div data-component-wrapper=\"tag\">\n    <tag :variant=&quot;success&quot;>\n        New\n    <\/tag>\n<\/div>\n&nbsp;ManualCorrectionCredited<a href=\"#contact-support\">\n  <strong>*<\/strong>\n<\/a><\/td>\n<td>Manual booking or adjustment by Adyen. The amount is added to the balance. This is enabled by default for new platforms.<\/td>\n<\/tr>\n<tr>\n<td><div data-component-wrapper=\"tag\">\n    <tag :variant=&quot;success&quot;>\n        New\n    <\/tag>\n<\/div>\n&nbsp;ManualCorrectionDebited<a href=\"#contact-support\">\n  <strong>*<\/strong>\n<\/a><\/td>\n<td>Manual booking or adjustment by Adyen. The amount is deducted from the balance. This is enabled by default for new platforms.<\/td>\n<\/tr>\n<\/tbody>\n<\/table>\n<p><a id=\"contact-support\"><\/a> <strong>*<\/strong> This record type is used by default in new platforms. For existing platforms, contact our <a href=\"https:\/\/ca-test.adyen.com\/ca\/ca\/contactUs\/support.shtml?form=other\" target=\"_blank\" rel=\"nofollow noopener noreferrer\" class=\"external-link no-image\">Support Team<\/a> to enable the new record types.<\/p>\n<h2>See also<\/h2>\n<div class=\"see-also-links output-inline\" id=\"see-also\">\n<ul><li><a href=\"\/classic-platforms\/reconciliation-use-cases\"\n                        target=\"_self\"\n                        >\n                    Reconciliation transactions using reports\n                <\/a><\/li><\/ul><\/div>\n","url":"https:\/\/docs.adyen.com\/pt\/classic-platforms\/reports-and-fees\/marketpay-payout-report","articleFields":{"description":"Use this report to reconcile each account holder's payout against debit and credit transactions.","id":"47485806","type":"page","_expandable":{"operations":""},"status":"current","parameters":{"directoryPath":"\/classic-platforms","report_name":"Marketpay Payout Report","file_name":"\/reporting\/settlement-reconciliation\/transaction-level\/marketpay-payout-report\/SAMPLE_marketpay_payout_report_2020_03_17.csv","additional_columns":"false","time_zone":"na","ca_type":"ca"},"feedback_component":true},"algolia":{"url":"https:\/\/docs.adyen.com\/pt\/classic-platforms\/reports-and-fees\/marketpay-payout-report","title":"Marketpay Payout Report","content":"\nTime zonesYour time zone setting affects the data in this report.\n\nThe\u00a0Marketpay Payout Report is only available for Automatic payouts and provides information about automatic payouts that were initiated within the day. The report also includes which account holders have been paid out and which transactions (both debits and credits) were part of the payout.\nTo get the transactions included in the payout for a particular account, filter the report using the Account holder, Account, and Currency columns. We generate one record line per account, per currency.\nIf an account has pending transactions (for example, a pending refund or chargeback), the amount is withheld from the payout amount. In such cases, the payout line of that account shows a non-zero rolling balance. The rolling balance is added to the balance of the next report, so you can use these reports to make a full reconciliation.\nReport name format: marketpay_payout_YYYY_MM_DD.csv\nSubscription:\u00a0Subscribe to this report in your Customer Area.\nFrequency: Daily, Weekly, or Monthly\nSample\nDownload a sample Marketpay Payout Report for examples of the included data.\nStructure\nThe first line of the report shows Marketpay Payout Report. The second line is the header line containing the following information.\nEntries\nUnder the header line, each line in the report is a separate entry.\nColumns\nEach column shows specific information about the entries.\n\n\n\nColumn #\nColumn\nData type\nDescription\n\n\n\n\n1\nMarket Place\nUnicode Text\nName of your marketplace or platform.\n\n\n2\nAccount Holder\nUnicode Text\nThe accountHolderCode you provided when you created the account holder.\n\n\n3\nAccount\nUnicode Text(9- or 16-character limit)\nThe accountCode of the account that belongs to the account holder.\n\n\n4\nRecord Type\nUnicode Text\nThe type of record included in a report. See Record types for a list of possible values.\n\n\n5\nPsp Reference\nUnicode&nbsp;Text(16-character limit)\nPSP reference for the action in the Adyen for Platforms system.\n\n\n6\nPayment Psp Reference\nUnicode Text(16-character limit)\nPSP reference of the payment in the PSP system\/Customer Area. Can be empty if the action is not related to a payment.\n\n\n7\nPayment Merchant Reference\nUnicode Text(80-character)\nThe reference you provided when you submitted the payment.\n\n\n8\nCapture Psp Reference\nUnicode Text(16-character limit)\nPSP reference for modification requests, such as a capture, refund, or chargeback request.\n\n\n9\nCapture Merchant Reference\nUnicode Text(80-character)\nThe reference you provided when you submitted a modification. When the capture delay is set to immediate, the value here is set to auto.\n\n\n10\nPayout Psp Reference\nUnicode Text(16-character limit)\nPSP reference of a payout.\n\n\n11\nChargeback Psp Reference\nUnicode Text(16-character limit)\nPSP reference of a chargeback.\n\n\n12\nBooking Date\nDate field +Time field\nTimestamp created when the booking was submitted.\n\n\n13\nTimeZone\nAlpha Text(4-character limit)\nTimezone in which the report was generated.\n\n\n14\nCurrency\nAlpha Text(3-character limit)\nCurrency in which the action was performed or in which the payment\/payout\/fundTransfer was submitted.\n\n\n15\nAmount\nFixed point number\nAmount defined in the split item line in the payment or payout\/fundTransfer request.\n\n\n16\nRolling Balance\nFixed&nbsp;point&nbsp;number\nBalance remaining in the account after the payout. This is usually 0, except when balance is withheld (for example, when there is a pending refund). The rolling balance is added to the next report's rolling balance.\n\n\n\nRecord types\n\n\n\nRecord type\nDescription\n\n\n\n\nCredited\nThe funds have settled\n\n\n.\n\n\nCreditReversed\nAdyen did not receive the funds and debits the original credited amount from the account.\n\n\nCreditFailed\nThe capture failed due to a technical issue, no funds were credited to the account.\n\n\nDebited\nThe funds were refunded\n\n\n.\n\n\nDebitedReversed\nAn initiated refund was returned to Adyen and the funds are booked back to the account. For example, when the bank account of the cardholder was closed.\n\n\nDebitFailed\nThe refund failed due to a technical issue, no funds were debited from the account.\n\n\nChargeback\nDebit for a payment that was reversed by the bank, scheme, or the customer.\n\n\nChargebackReversed\nA previous chargeback was reversed after a payment was successfully defended, or after the shopper repaid.\n\n\nSecondChargeback\nDebit for unsuccessful defense of a first chargeback.\n\n\nFundTransfer\nFunds were transferred from one account to another.\n\n\nPayout\nFunds were paid out to the account holder.\n\n\nVirtualAccountPayoutReturned\nA payout could not be completed and the funds were returned to the account holder. For example, when the bank account of the cardholder is closed.\n\n\n\n    \n        Deprecated\n    \n\n  ManualCorrected\nManual booking or adjustment by Adyen, used in existing platforms. For new platforms, this record type is replaced by the new record types: ManualCorrectionCredited and ManualCorrectionDebited.\n\n\nTransferBalance\nAggregate amount of debits and credits to the liable account. In previous versions of the report, this amount includes payment costs.  For new platforms, the TransferBalance only contains the aggregate amount of credits and debits that could not have been booked due to missing split instructions, missing split reference, or a technical issue. Other debits and credits are reported under new record types. For example, payment costs are reported under record type Fee.\n\n\n\n    \n        New\n    \n\n&nbsp;Fee\n  *\n\nAdyen fees booked against your platform's liable account during the specified period. This is enabled by default for new platforms.\n\n\n\n    \n        New\n    \n\n&nbsp;DepositCorrection\n  *\n\nFunds withheld from or released to your platform's liable account due to a change in the required security deposit (coverage of the exposure on the account). This is enabled by default for new platforms.\n\n\n\n    \n        New\n    \n\n&nbsp;InvoiceDeduction\n  *\n\nRepresents a monthly invoice that is credited to or debited from your platform's liable account. This is enabled by default for new platforms.\n\n\n\n    \n        New\n    \n\n&nbsp;MerchantPayin\n  *\n\nA credit transfer or direct debit booked in your platform's liable account. This is enabled by default for new platforms.\n\n\n\n    \n        New\n    \n\n&nbsp;MerchantPayinReversed\n  *\n\nA payment meant to top up or fund your platform's liable account goes through a chargeback. This is enabled by default for new platforms.\n\n\n\n    \n        New\n    \n\n&nbsp;ManualCorrectionCredited\n  *\n\nManual booking or adjustment by Adyen. The amount is added to the balance. This is enabled by default for new platforms.\n\n\n\n    \n        New\n    \n\n&nbsp;ManualCorrectionDebited\n  *\n\nManual booking or adjustment by Adyen. The amount is deducted from the balance. This is enabled by default for new platforms.\n\n\n\n * This record type is used by default in new platforms. For existing platforms, contact our Support Team to enable the new record types.\nSee also\n\n\n                    Reconciliation transactions using reports\n                \n","type":"page","locale":"pt","boost":17,"hierarchy":{"lvl0":"Home","lvl1":"Classic integration","lvl2":"Reports and fee types","lvl3":"Marketpay Payout Report"},"hierarchy_url":{"lvl0":"https:\/\/docs.adyen.com\/pt","lvl1":"https:\/\/docs.adyen.com\/pt\/classic-platforms","lvl2":"https:\/\/docs.adyen.com\/pt\/classic-platforms\/reports-and-fees","lvl3":"\/pt\/classic-platforms\/reports-and-fees\/marketpay-payout-report"},"levels":4,"category":"","category_color":"","tags":["Marketpay","Payout","Report"]},"articleFiles":{"SAMPLE_marketpay_payout_report_2020_03_17.csv":"<p alt=\"\">SAMPLE_marketpay_payout_report_2020_03_17.csv<\/p>"}}
