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Publishing statement reconciliation & payouts

Publishers can now match incoming statements against registered works and writers and track payout status inside Royalti, closing the gap between registration and payment.

Registering works and writers is only half the job — confirming that statements actually pay out correctly against those registrations has typically been a manual cross-check. The new reconciliation screen closes that loop.

  • **Match statements to catalog** — line up incoming publishing statements against your registered works and writer splits
  • **Spot mismatches** — flag lines where expected shares don't match what's reported
  • **Track payout status** per writer and per work, in one place
  • **Drill into detail** on any statement line to see the underlying work/writer breakdown

Available under **Publishing > Reconciliation** for accounts on the Publisher add-on.

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