Invoice Conversion Checklist: Paddle Seller Payouts
Reconcile Paddle seller statements: convert PDFs to CSV and match payouts to your bank and ledger.
Checklist
- Download Paddle balance or payout PDFs for the reconciliation period
- Convert each PDF with BillToSheet
- Match payout totals to bank deposits by date and currency
- Reconcile fees and adjustments to your revenue recognition sheet
- File exports with your month-end close package
Frequently Asked Questions
Is this a substitute for Paddle's dashboard?
No. Use Paddle as the source of truth; BillToSheet helps you get the same numbers into Excel or your ERP import format faster.