Report and reconcile transactions
This topic explains how to align internal payment records with external gateway data using reconciliation tools and reporting features to detect discrepancies, monitor transactions, and export data for analysis.
You can align internal payment records with external gateway data, providing visibility and control over your payment operations. With built-in reconciliation tools and reporting features, you can detect discrepancies, monitor transaction flow in real time, and export the data you need for analysis or auditing.
Use this section to learn how to:
Set up Real-Time Reconciliation to keep transaction data in sync with gateway records
Run Batch Gateway Reconciliation jobs to catch discrepancies across larger data sets
Monitor and export payment data for deeper analysis and audit needs