Reports and statements
Understand the reporting period and reconcile what the report includes.
NairaMove is in development. These guides do not announce live financial availability. Check current availability.
Choose the period
Reports summarize the implemented wallet activity for the selected period. Check the displayed dates and currency before exporting. Amounts are computed by the financial backend, not from browser totals.
Read the scope
Gross, refunds, fees, net and held amounts describe different things. A sales total is not automatically a bank settlement. Complete provider settlement matching and payment-to-payout allocation remain outstanding.
Exports
Use the available CSV or print view for the relevant report. Treat downloaded customer and financial records as private. Do not publish a statement as part of public documentation.
Reviewed 1 October 2026 · Preview guidance
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