Hi y'all, I'm trying to understand the transactions ledger export in more detail.
(a) I see these Types:
Payout
Reservation
Reservation
Resolution Adjustment
Resolution Payout
Is there an explainer for each one? And how is the order calculated?
I want to write some scripts in my Spreadsheet to do calculations.
(b) When I see "Resolution adjustment for resolution XXX" the XXX is a reference number NOT in my ledger.
What is XXX referencing?
(c) Anyone else frustrated with the layout of this ledger or is it just me? lol
I wish it was as simple as a bank ledger with credit and debit for each row. One can only dream I guess 😉