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Revenue ​

Document Information

Version: v1.0 Updated: 2026-08-27

Feature Overview ​

ItemContent
Applicable RoleModel provider
Navigation pathBilling > Earnings > Revenue
Page route/billing/provider/revenue
Managed objectsRevenue overview, revenue account balance, account activity, billing cycle analysis, settlements, and customer revenue

Revenue is used to view Provider revenue overview, revenue account balance, current month estimate, billing cycle analysis, revenue account activity, settlements, and customer revenue details. Provider accounts can use this page to understand revenue trends, verify revenue account activity, and reconcile revenue with monthly settlements and customer details.

Beginner Explanation ​

Revenue works like a Provider earnings dashboard. Start with revenue account balance and current month estimate, then use billing cycle analysis to review daily revenue, top customers, and top models. For reconciliation, switch to Revenue Account Activity or open settlements and customer details.

Terms Quick Reference ​

TermMeaningHandling tip
Revenue Account BalanceCurrent balance of the Provider revenue account.Verify it with revenue account activity and settlements.
Current Month EstimateEstimated revenue for the current calendar month.Do not treat it as final settled revenue.
Billing Cycle AnalysisDaily revenue, customer contribution, and model contribution by billing cycle.Keep the billing cycle consistent when comparing data.
Revenue Account ActivityActivity or payout records of the revenue account.Check this first when amount changes are unclear.
SettlementsMonthly settlement results by billing cycle.Use it to reconcile estimated revenue and settled amount.

Prerequisites ​

  1. The current account can access Earnings > Revenue.
  2. The target Provider revenue scope has been confirmed.
  3. The page has finished loading before you verify revenue, billing cycle, customer, or model data.

High-Risk Operation Boundary

Revenue account balance, activity amount, customer name, billing cycle, and settlement status are sensitive. Before exporting revenue data, verify account permission and recipient scope. Do not record real customer names, accounts, amounts, transaction numbers, settlement statement numbers, Token, or Key.

Page Description ​

The following screenshot shows Revenue Overview. Amounts, customers, and revenue details in screenshots are desensitized.

Revenue overview

AreaDescription
OverviewShows core Provider revenue metrics and billing cycle analysis.
Revenue Account ActivityShows revenue account activity or payout records.
Revenue Account BalanceCurrent balance of the revenue account.
Current Month EstimateEstimated revenue for the current calendar month.
Billing Cycle AnalysisDaily revenue, top customers, top models, and settlement overview for the selected billing cycle.
SettlementsEntry for monthly settlement records.
Customer DetailsEntry for customer-level revenue details.

Main Operations ​

View Earnings ​

  1. Go to Billing > Provider Earnings > Revenue Overview.
  2. Select a billing period and filter by model, customer, or settlement status.
  3. Check total, pending, and settled earnings, trends, and refresh time.
  4. If no data is shown, expand the period and reset filters. Redact amounts and customer information before sharing.

View Revenue Overview ​

  1. Go to Billing > Earnings > Revenue.
  2. Review Revenue Account Balance, Current Month Estimate, next settlement cue, and historical settlement performance.
  3. Confirm the current Billing Cycle used for analysis.
  4. Review Daily Revenue, Top Customers, and Top Models to understand revenue trends and major sources.
  5. To reconcile settlement results, review the settlement overview on the page or open monthly settlements.

View Revenue Account Activity ​

  1. Go to Billing > Earnings > Revenue.
  2. Switch to the Revenue Account Activity tab.
  3. Review the revenue account activity list.
  4. Verify activity time, activity type, amount, status, related billing cycle, and description as needed.
  5. To reconcile with settlement results, return to Revenue Overview or open monthly settlements for the corresponding billing cycle.

Revenue account activity

Parameter Quick Reference ​

Field NameRequiredField TypeExampleDescription
OverviewNoTabOverviewShows revenue overview and billing cycle analysis.
Revenue Account ActivityNoTabRevenue Account ActivityShows revenue account activity or payout records.
Revenue Account BalanceSystem generatedCredits100.00 creditsCurrent revenue account balance. Desensitize it in screenshots.
Current Month EstimateSystem generatedCredits100.00 creditsEstimated revenue for the current calendar month. It is not final settlement.
Billing CycleNoMonth / cycle2026-07Controls the data scope for billing cycle analysis.
Daily RevenueSystem generatedChartJul 6Daily revenue trend in the selected billing cycle.
Top CustomersSystem generatedRankingExample customerCustomers with higher contribution in the selected billing cycle. Desensitize customer information.
Top ModelsSystem generatedRankingExample modelModels with higher contribution in the selected billing cycle.
Activity TimeSystem generatedTime2026-07-10 12:00:00Time when the revenue account activity occurred.
Activity TypeSystem generatedEnumSettlement postingRevenue account activity type.
Activity AmountSystem generatedCredits100.00 creditsRevenue account activity amount. Desensitize it in screenshots and tickets.
Activity StatusSystem generatedEnumSucceededProcessing status of the revenue account activity.
Related Billing CycleSystem generatedBilling cycle2026-07Billing cycle related to the activity record.
DescriptionNoTextExample descriptionActivity description. Do not write real customer, account, or internal handling information.

Pitfalls ​

  • Do not rely on revenue account balance alone. Cross-check revenue account activity, monthly settlements, and customer details.
  • Current month estimate changes with consumption and settlement processing. Do not treat it as final credited amount.
  • Empty Top Customers or Top Models is not always abnormal. Confirm whether the selected billing cycle has real revenue first.
  • Revenue account balance, activity amount, customer name, billing cycle, and settlement status are sensitive. Desensitize screenshots, exports, tickets, and comments.
  • Before exporting revenue data, verify the billing cycle, account permission, data scope, and recipient.

Result Validation ​

Check ItemSuccess SignalIf Abnormal
Page loadRevenue metrics, billing cycle analysis, and entries are visible.Refresh the page or check whether the account has Provider revenue permission.
Overview readableRevenue account balance, current month estimate, daily revenue, top customers, and top models are visible.Wait for data refresh or switch to a billing cycle with revenue.
Activity list readableFields and status are visible under Revenue Account Activity.Refresh the page or confirm activity view permission.
Reconciliation pathYou can return to Revenue Overview or open monthly settlements for the corresponding billing cycle.Re-enter the target page from the sidebar.

FAQ ​

Revenue balance does not match the expected value ​

The balance or estimated revenue in Revenue Overview differs from internal records.

How to check:

Confirm the billing cycle first, then check Revenue Account Activity, Settlements, and Customers to compare source, status, and customer-level data.

Top Customers or Top Models is empty ​

The customer ranking or model ranking in billing cycle analysis has no data.

How to check:

Switch to a billing cycle with existing revenue. If other metrics are also empty, check account permission and page loading status.

Revenue Account Activity list is empty ​

No activity record appears after switching to Revenue Account Activity.

How to check:

Return to Revenue Overview to check settlement history, then open monthly settlements to verify whether the corresponding billing cycle has been settled.

Revenue Does Not Update After Refresh ​

Symptom:

The amount, count, or status in Revenue remains unchanged after the related process finishes.

Possible causes:

  • The billing cycle, tenant, customer, or business scope does not match the processed object.
  • An upstream statistics, posting, or settlement task is still running.
  • The current account can view only part of the data scope.

How to handle:

  1. Recheck the billing cycle and object scope in Revenue.
  2. Refresh the page, reopen the target record, and verify the update time.
  3. Cross-check the upstream status in Revenue Account Activity and Settlements.
  4. If the value still does not update, provide authorized personnel with the desensitized billing cycle, object identifier, status, and update time.

What Must Be Checked Before Sharing Revenue Information? ​

Symptom:

Revenue results must be shared in a screenshot, ticket, or report.

Possible causes:

  • Revenue balances, billing-cycle amounts, customers, models, and settlement statuses may be sensitive billing information.
  • The sharing scope may exceed the recipient's business permission.
  • A full screenshot may include account, environment, or unrelated information.

How to handle:

  1. Keep only fields, statuses, and time ranges required for troubleshooting.
  2. Use the specified light-gray opaque small-pixel mosaic only on sensitive text and values.
  3. Confirm that the screenshot does not contain top-menu account data, environment information, real credentials, or internal addresses.
  4. Share with the minimum required audience and record the desensitized scope.

Notes ​

  • Revenue Overview is a summary view. Final reconciliation should use revenue account activity, settlements, and customer details together.
  • Revenue account balance, activity amount, customer name, account, billing cycle, transaction number, and settlement statement number are sensitive. Do not share them directly.
  • Desensitize screenshots, exports, tickets, and comments.
  • Do not record real customer names, accounts, amounts, transaction numbers, settlement statement numbers, Token, or Key.

Next Steps ​

  1. To verify settlement status, go to Settlements.
  2. To verify revenue by customer, go to Customers.
  3. To troubleshoot revenue account activity, keep only desensitized page paths, billing cycles, and status information.