We assign a batch number to every settlement paid to your bank account. You can find the details of each settlement in the Settlement Detail Reports. You can use these to reconcile payments.
To retrieve the settlement detail report, make sure you are in the relevant merchant account (mentioned in your bank statement), then go to Finance > Settlement details and click Generate.
This transaction level report specifies the gross and net settlement amounts for captures, refunds, fee totals, deposit corrections, balance transfers, the total amount settled, and chargebacks (if applicable).