--- title: "Batch-level reconciliation" description: "Learn to reconcile your payout batches for a specific date range." url: "https://docs.adyen.com/reporting/settlement-reconciliation/batch-level" source_url: "https://docs.adyen.com/reporting/settlement-reconciliation/batch-level.md" canonical: "https://docs.adyen.com/reporting/settlement-reconciliation/batch-level" last_modified: "2022-01-10T18:28:00+01:00" language: "en" --- # Batch-level reconciliation Learn to reconcile your payout batches for a specific date range. [View source](/reporting/settlement-reconciliation/batch-level.md) To reconcile payout batches against your bank statement, you need: * The [Aggregate Settlement Details Report](/reporting/settlement-reconciliation/batch-level/aggregate-settlement-details-report) to find settled batches and other account movements for a specified date range. ## Step 1: Find settlement batches Use the following column to find a batch: * **Batch Number**: The settlement batch number. Each batch can have more than one entry in the report if it includes settlements with more than one: * Creation date: for example, it includes settlement amounts from several days of sales. * Payment method: for example, it includes settlements from Mastercard and Visa payments. * Journal type: for example, it includes a settlement from American Express payments and a balance transfer form a previous batch. * Currency: for example, it includes settlement amounts in EUR and USD. ### Example The following example shows select columns from the Aggregate settlement details report. The entries are for a settlement batch with the **Batch Number** of **604**. There are six entries with the **Creation Date** of `2021-03-26`. * Three of the entries have a **Journal Type**: `Settled`. * One entry is for the **Payment Method**: `mc`. * One entry is for the **Payment Method**: `visa` with the **Net Currency**: `USD`. * One entry is for the **Payment Method**:`visa` with the **Net Currency**: `EUR`. * Three of the entries have a **Journal Type**: `Balancetransfer`. * Each of these entries has a different **Net Currency**. | Batch Number | Payment Method | Creation Date | Journal Type | Net Currency | Net Debit (NC) | Net Credit (NC) | | ------------ | -------------- | ------------- | --------------- | ------------ | -------------- | --------------- | | 604 | mc | 2021-03-26 | Settled | USD | | 19.16 | | 604 | visa | 2021-03-26 | Settled | USD | | 9.84 | | 604 | visa | 2021-03-26 | Settled | EUR | | 1332.45 | | 604 | | 2021-03-26 | Balancetransfer | USD | | 24352.73 | | 604 | | 2021-03-26 | Balancetransfer | SEK | | 9.8 | | 604 | | 2021-03-26 | Balancetransfer | EUR | | 1610643.25 | ## Step 2: Find the total transaction amounts and fees in a batch Each entry with the **Journal Type** of Settled shows the amount settled for a group of transactions. You can see details about the amount in the following columns: * **Gross Credit**: The total amount for the group of transactions in the entry. * **Bank/Card Commission**: The bank and/or card commission fees for the group of transactions in the entry. * **DCC Markup**: The Dynamic Currency Conversion (DCC) markup for the group of transactions in the entry. * **Num Txs**: The number of transactions included in the entry. * **Net Credit**: The amount settled to your bank account after deducting bank and/or card commission fees and DCC markup. This is the amount in **Gross Credit** minus the amounts in **Bank/Card Commission** and **DCC Markup**. ### Example The following example shows select columns from the Aggregate settlement details report. The entries are for a settlement batch with the **Batch Number**: `608`. The net settlement amount for this batch is EUR 5,847.53. This is the total of the amounts in the **Net Credit** column.\ The total bank or card commission fees for this batch is EUR 114.27. This is the total of the amounts in the **Bank/Card Commission** column.\ The total number of transactions in this batch is 31. This is the total of the numbers in the **Num Txs** column. | Batch Number | Payment Method | Creation Date | Journal Type | Gross Currency | Gross Debit (GC) | Gross Credit (GC) | Exchange Rate | Net Currency | Net Debit (NC) | Net Credit (NC) | Bank/Card Commission (NC) | DCC Markup (NC) | Num Txs | | ------------ | -------------- | ------------- | ------------ | -------------- | ---------------- | ----------------- | ------------- | ------------ | -------------- | --------------- | ------------------------- | --------------- | ------- | | 608 | amex | 2021-04-01 | Settled | EUR | | 7 | 1 | EUR | | 6.86 | 0.14 | | 1 | | 608 | mc | 2021-04-01 | Settled | EUR | | 768.75 | 1 | EUR | | 752.48 | 16.27 | | 3 | | 608 | visa | 2021-04-01 | Settled | EUR | | 5186.05 | 1 | EUR | | 5088.19 | 97.86 | | 27 | ## See also * [Transaction-level reconciliation](/reporting/settlement-reconciliation/)