# Balance Log View user balance change records including recharges, consumption, rewards, and all balance operations. ## Table Column Description ### User User with balance change (clickable for details). ### Amount Balance change amount: - Positive for increase - Negative for decrease ### Order No. Associated order number (clickable for order details). ### Balance User balance after change. ### Type Balance change type (displayed as Badge): **Traffic Reset (23x)**: - Auto Reset (231) - Advance Reset (232) - Paid Reset (233) **Recharge/Withdrawal (32x)**: - Recharge (321) - Withdraw (322) - Payment (323) - Refund (324) - Reward (325) - Admin Adjust (326) **Purchase (33x)**: - Purchase (331) - Renewal (332) - Refund (333) - Withdraw (334) - Admin Adjust (335) **Adjustment (34x)**: - Increase (341) - Reduce (342) ### Time Balance change time. ## Filter Functions ### Date Filter Select date to view balance records, defaults to today. ### User ID Filter Input user ID to view that user's balance changes. ## Usage Scenarios ### Scenario 1: View Today's Recharges 1. Shows today's balance records by default 2. Filter by "Recharge" type 3. Calculate total recharge amount 4. Analyze recharging users ### Scenario 2: Track User Balance **View User Consumption**: 1. Filter by user ID 2. View all balance changes 3. Analyze spending habits 4. Verify billing accuracy ### Scenario 3: Investigate Abnormal Transactions **Check Large Amounts**: 1. Browse balance records 2. Focus on large recharges/expenses 3. Click order number for details 4. Verify transaction legitimacy ### Scenario 4: Admin Balance Adjustment **Verify After Manual Adjustment**: 1. Filter "Admin Adjust" type 2. View adjustment records 3. Verify adjustment correctness 4. Notify user (if needed) ## Balance Type Description ### Recharge Related - **Recharge**: User recharges via payment channel - **Reward**: Referral reward, event reward - **Refund**: Order refund to balance ### Consumption Related - **Purchase**: Buy new plan - **Renewal**: Renew existing plan - **Payment**: Other payment operations ### Adjustment Related - **Admin Adjust**: Manually increase or decrease balance - **Withdraw**: User requests withdrawal (deducts balance) ## Financial Reconciliation ### Daily Reconciliation Check daily: 1. Total recharge matches payment platform 2. Total consumption matches order total 3. No abnormal large changes 4. Refund records complete ### Monthly Reconciliation Monthly summary: 1. Total recharge amount 2. Total consumption amount 3. Total balance change 4. Transaction fee expenses ## Important Notes 1. **Log Retention**: Retention time per system config 2. **Amount Sign**: Pay attention to positive/negative meaning 3. **Order Association**: Can trace source with order number 4. **Type Recognition**: Quickly identify operations by type code 5. **Balance Snapshot**: Records balance after change 6. **Admin Operations**: Admin adjustments are recorded 7. **Regular Reconciliation**: Recommended daily financial verification