The records for buy-now-pay-later settlements rarely arrive in one place or at one time. A reliable packet connects the store order export, provider transaction report, fee schedule, refund report, dispute file, settlement statement, bank deposit, and general ledger. Posting the final bank amount alone removes the evidence needed to explain timing, fees, adjustments, ownership, and unresolved differences.
Authoritative background includes Consumer Financial Protection Bureau BNPL resources and FTC online business guidance. These sources inform the workflow but do not replace the company’s contract, accounting policy, jurisdiction-specific rules, or professional advice. Record the source version and access date when a changing rule affects the procedure.