Home
Documentation
Resources
Partners
Community

Resources

Check for updates on our solutions and system performance, or request technical support.

Partners

Discover our program for agencies or developers that offer integration services and sellers who want to hire them.

Community

Get the latest news, ask others for help and share your knowledge.

Report use - Account balance - Mercado Pago Developers

Intelligent search powered by OpenAI 

Report uses

Once the report is ready and downloaded, you will have a file ready to consult spreadsheets and import them into the program you use.

To review the report, we recommend downloading it in CSV format to open it in a program that can visualize it. The file should be configured in UTF-8 format to avoid reading issues.

Report content

Report fieldDescription
Initial Available Balance
Initial balance. Indicates the amount available on the initial date of the period you selected for reconciliation.

Release
Details of releases of money, including the initial balance and transactions impacting the total balance.

Block
Money blocks due to disputes.

Unblock
Unblocks after dispute resolution.

Subtotal
Sum of transactions within each section.

Total
Final result composed of the sum of all subtotals.

In other words:
subtotal Release + subtotal Block + subtotal Unblock = total result.

It is the difference between the total credited net amount and the total debited net amount.

Additionally, the report reflects accounting concepts of debit (money you need to pay) and credit (money you are due to receive), organizing the report into two columns, one for each concept:

Your credit will be in the NET_CREDIT_AMOUNT column.
Your debt will be in the NET_DEBIT_AMOUNT column.

The available balances of transactions are displayed in the NET_CREDIT (credit) and NET_DEBIT (debit) columns according to positive or negative values. In these fields, the gross amount and discounts related to financing, taxes, and shipping costs are also detailed, resulting in the final net amount.

If a transfer is not completed, the report remains valid. The amount will be refunded to your account, and the transaction will be displayed on a new line in the NET_CREDIT column.

Important
Have the Releases Report Glossary on hand to consult when needed to check any technical term.

Report example

Observe what comprises the Releases Report in the following example to identify the sections and analyze your own reports:

Reporte de liberaciones

The default version will show an extended view of the columns. The final report will have the most detailed information possible.

Report organization

See the following example for the organization of the report:

Reporte de Dinero retirado Ejemplos Mercado Pago