Report on your account balance
Export information about movements in and out of your account balance to track revenue flow, reconcile transactions, and optimize your financial operations using the new balance report.
What's new?
We've added a new balance report to the Paddle platform. It includes all movements of funds making up your account balance, helping streamline your reconciliation process.
How it works
Reports in Paddle let you export information from your account that you can open in a spreadsheet app.
To complement the existing reports in Paddle Billing, we've added a new balance report that you can use to get a complete overview of your account balance activity. It gives you a complete overview of your account balance activity, including all movements of funds in and out of your balance.
You can filter based on the date a balance movement was last updated. This relates to when a transaction or adjustment was recognized as revenue.
You can only generate balance reports using the API. It's coming to the dashboard in H2 2025.
Summary of changes to fields
This is a summary of the changes to fields in the Paddle API and webhooks:
Field | Change | Notes |
---|---|---|
report.type | New allowed value | balance added. |
Next steps
This change is available in version 1
of the Paddle API. It's scheduled to be added to the dashboard in H2 2025.
It's a non-breaking change, meaning it doesn't impact existing integrations.
Check out the generate reports guide and the report entity overview in the API reference to get started.