Transaction Detail Report
Overview
Transaction Detail Reports that are provided by Alipay+ to the Acquiring Service Provider (ACQP) include all the transaction details to be cleared in a clearing cycle.
Specifically:
- Only transactions to be settled, including successful payments and refunds, are included in the Transaction Detail Report.
- Only the transactions that are completed within the clearing cycle are included in the Transaction Detail Report. The transaction completion time is specified by the transactionTime parameter.
For every clearing cycle, a Transaction Detail Report is created with other reports in the same clearing cycle, such as the Transaction Summary Report and the Fee Report. The reports are uploaded to a specific directory on the SFTP server. The ACQP can download and use them for reconciliation.
File location and naming convention
The Transaction Detail Report is a UTF-8 encoded text file. By default, this file is saved in the directory /v1/settlements/clearing/<participantId>/<date>
, and the default file name is transactionItems_<participantId>_<settlementCurrency>_<clearingBatchId>_<participantAgreementId>_<seq>.csv
, where:
- participantId: the unique ID that Alipay+ assigns to the ACQP. This field identifies the receiver of the file.
- date: the date when the report is generated, not the date of the transactions. For example, a report with a date of 20220319 is generated on 2022.03.19.
- clearingBatchId: the clearing cycle index, used to indicate a unique clearing cycle. A clearing cycle is from 00:00 to 23:59:59, UTC+8.
- settlementCurrency: the currency that is used in settlement, as agreed in the contract.
- participantAgreementId: the unique ID that is assigned by Alipay+ to identify a settlement agreement between Alipay+ and the ACQP. The value of the participantAgreementId parameter is determined by the value of the participantId parameter and the settlement currency used by the ACQP (and separately allocated for AlipayCN). The ID represents the fund flow when Alipay+ performs settlement to the ACQP.
- seq: the sequence number used as a file index. The field is used when multiple files exist in the clearing cycle. The file index is ordered in the range of
000-999
.
Report structure
The Transaction Detail Report consists of two parts:
- The summary section displays the summary information about the transactions, for example, the total number of transactions and net total amount.
- The details section displays the transaction details, for example, transaction data details.
If no transaction exists in a clearing cycle, the Transaction Detail Report is still generated. The report summary section displays 0 total count and 0 total amount, and the report detail section displays no transaction details.
Structure
Summary section
No. | Parameter | Description |
1 | totalCount | Required String The total number of items in the Transaction Detail Report file. |
2 | fundDirection | Required String The fund direction. Valid values are:
|
3 | settlementCurrency | Required String (3) The currency of the net settlement amount. The value is specified by using the 3-character ISO 4217 currency code. |
4 | netSettlementAmountValue | Required Integer The gross settlement amount, including the fee settlement amount. The value is provided in the smallest unit of the corresponding currency. For example, if the currency is USD and the amount is $1.00, the value of this parameter is 100; if the currency is JPY and the amount is ¥1, the value of this parameter is 1. Value range: 0 - unlimited. |
5 | transactionCurrency | Optional String (3) The currency of the net transaction amount. The currency here is the same as the currency of the transactions in the clearing cycle, which is the value of the paymentAmount.currency parameter in the pay API. The value is specified by using the 3-character ISO 4217 currency code. Note: This parameter is empty when no transaction occurs in the clearing cycle or multiple transaction currencies are involved in the clearing cycle. |
6 | netTransactionAmountValue | Optional Integer The net transaction amount. The value is provided in the smallest unit of the corresponding currency. For example, if the currency is USD and the amount is $1.00, the value of this parameter is 100; if the currency is JPY and the amount is ¥1, the value of this parameter is 1. Value range: 0 - unlimited. Note: This parameter is empty when no transaction occurs in the clearing cycle or multiple transaction currencies are involved in the clearing cycle. |
7 | extendInfo | Optional String (2048) The extended information. |
Detail section
No. | Parameter | Description |
1 | clearingBatchId | Required String (32) The unique ID that is assigned by Alipay+ to identify a clearing cycle. A clearing cycle is from 00:00 to 23:59:59, UTC+8. |
2 | participantId | Required String (64) The unique ID that is assigned by Alipay+ to identify an ACQP. |
3 | counterParticipantId | Required String (64) The unique ID that is assigned by Alipay+ to identify a Mobile Payment Provider. For the wallets that are indicated by the value of this parameter, see the table in the overview of MPP capabilities. |
4 | transactionRequestId | Required String (64) The unique ID that is assigned by the ACQP to identify a transaction. The value of this parameter is identical to that of paymentRequestId for a payment, and to that of refundRequestId for a refund. |
5 | originalTransactionRequestId | Optional String (64) An identifier for the original transaction.
|
6 | transactionType | Required String The transaction type. Valid values are:
|
7 | transactionTime | Required Datetime The date and time when the transaction reaches a final state of success or failure. The transaction time can be obtained from the paymentTime parameter of the notifyPayment API or inquiryPayment API, or the refundTime parameter of the refund API. The value follows the ISO 8601 standard. |
8 | fundDirection | Required String The fund direction. Valid values are:
|
9 | settlementCurrency | Required String (3) The currency of the settlement amount. The value is specified by using the three-character ISO 4217 currency code. |
10 | settlementAmountValue | Required Integer The settlement amount of a transaction. The value is provided in the smallest unit of the corresponding currency. For example, if the currency is USD and the amount is $1.00, the value of this parameter is 100; if the currency is JPY and the amount is ¥1, the value of this parameter is 1. Value range: 0 - unlimited. |
11 | transactionCurrency | Required String (3) The currency of the transaction amount. The value is specified by using the three-character ISO 4217 currency code. The currency here is the same as the currency of the transactions in the clearing cycle, which is the value of the paymentAmount.currency parameter in the pay API. |
12 | transactionAmountValue | Required Integer The transaction amount. The value is provided in the smallest unit of the corresponding currency. For example, if the currency is USD and the amount is $1.00, the value of this parameter is 100; if the currency is JPY and the amount is ¥1, the value of this parameter is 1. Value range: 0 - unlimited. |
13 | feeDirection | Required String The fee direction. Valid values are:
|
14 | feeCurrency | Optional String (3) The currency of the net fee amount. The value is specified by using the 3-character ISO 4217 currency code, and the same as the value of transactionCurrency. Note: This parameter is only passed if the fee is calculated in the transaction currency. |
15 | netFeeAmountValue | Optional Integer The net fee amount of all the fees that are charged for the transaction. The value is provided in the smallest unit of the corresponding currency and rounded with Banker's rounding. For example, if the currency is USD and the amount is $1.00, the value of this parameter is 100; if the currency is JPY and the amount is ¥1, the value of this parameter is 1. If the fee settlement amount is less than the smallest unit of the fee settlement currency, the value of this parameter will be 0. Value range: 0 - unlimited. Note: This parameter is only passed if the fee is calculated in the transaction currency. |
16 | feeSettlementCurrency | Optional String (3) The currency of the net fee settlement amount. The value is specified by using the 3-character ISO 4217 currency code. Note: This parameter is only passed if the fee is calculated in the settlement currency. |
17 | netFeeSettlementAmountValue | Optional Integer The net fee settlement amount of all the clearing fees that are charged for the transaction. The value is provided in the smallest unit of the corresponding currency and rounded with Banker's rounding. For example, if the currency is USD and the amount is $1.00, the value of this parameter is 100; if the currency is JPY and the amount is ¥1, the value of this parameter is 1. If the fee settlement amount is less than the smallest unit of the fee settlement currency, the value of this parameter will be 0. Value range: 0 - unlimited. Note: This parameter is only passed if the fee is calculated in the settlement currency. |
18 | extendInfo | Optional String (2048) The extended information. |
Samples
This section contains sample reports for different scenarios.
Payment only
The following sample assumes that the ACQP with an ID of A1234567890
has two payments on 2022-04-19. The payments are made and settled in EUR.
See the following section for details:
- Summary section: the ACQP gets a settlement fund of 20 EUR in total, as a result of two payments that net 20 EUR in total.
- Detail section:
- A payment of 10 EUR is made, which leads to 10 EUR in the settlement amount, and 0.2 EUR in the fee settlement amount for the ACQP.
- Another payment of the same amount is made and leads to the same result in settlement and fees.
📎transactionItems_A1234567890_EUR_202204190000200000_20210001_000.csv
Payment & refund
The following sample assumes that the ACQP with an ID of A1234567890
has 14 transactions on 2022-04-28. The transactions are made and settled in EUR.
See the following section for details:
- Summary section: the ACQP gets a settlement fund of 82 EUR in total, as a result of 14 transactions that net 82 EUR in total.
- Detail section:
- Seven payments are made, each of 23 EUR. Each payment leads to 0.46 EUR in the fee settlement amount for the ACQP.
- Sevemn refunds are made for 5 payments, in different amounts.
📎transactionItems_A1234567890_EUR_202204280000200000_20210000_000.csv
Payment & refund in multiple currencies
The following sample assumes that the ACQP with an ID of A1234567890
has 11 transactions on 2022-01-10. Some transactions are made in MYR, some others are in HKD. All transactions are settled in EUR.
See the following section for details:
- Summary section: the ACQP gets a settlement fund of 0.5 EUR in total, as a result of 11 transactions.
- Detail section:
- 5 payments are made in different amounts in HKD or in MYR.
- 6 refunds are made for 4 payments. The refunds are also made in different amounts in HKD or in MYR.
- The fee amounts are too low to be settled in EUR. Therefore, all the fees are 0.
📎transactionItems_A1234567890_EUR_202201101107957472_202109171107900901003800022697_000.csv