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Financial Sync Console

Diagnose and repair wallet, ledger, earnings, and history sync issues.

Completed Transactions

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Missing Ledger Entries

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Missing Earnings

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Wallet Mismatches

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Sync Recent Transactions

Run full sync on the 50 most recent completed transactions. Creates missing ledger entries, updates wallet balances, records earnings.

Recalculate Wallet Balances

Rebuild all wallet balance snapshots from ledger entries. Fixes any stale cached balances.

Rebuild Agent Earnings

Ensure every agent cash-in and cash-out transaction has a corresponding earnings ledger entry.

Financial Integrity Checklist

Ledger is source of truth for all balances
No hardcoded balance values
All agent cash-ins create ledger credit entries
All agent cash-outs create ledger debit entries
Wallet balance snapshots match ledger totals
Agent earnings records exist for all eligible transactions