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AU88 BIZ2 1 week ago
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Alberto Hernandez 6 days ago
The objective to find TikTok Shop settlement errors and recover eligible reimbursements requires a disciplined, evidence-based approach grounded in verifiable transaction data https://fbtops.com/ . FBTops matches orders, final statement transactions, reserves, payouts, bank deposits and Fulfilled by TikTok (FBT) events for US sellers and agencies. When those records stop matching, we document the exception, test the applicable path and help authorized sellers prepare supported reimbursement cases. TikTok determines eligibility and payment. Where TikTok Shop records can stop matching includes multiple operational and financial checkpoints. These are audit categories, not automatic claims. Each flagged item must be tied to its fulfillment route, event record, final financial impact, current policy and eligibility conditions. Variances may arise from timing differences, adjustments applied after settlement, reserve releases, or fee recalculations. Proper classification ensures that each case is reviewed within the correct procedural context and avoids misinterpretation of standard platform behavior as an error. What a TikTok Shop reimbursement audit tests is the alignment between transactional records and final financial outputs. A TikTok Shop reimbursement is a credit or payment issued after TikTok determines that a seller is eligible under an applicable policy or case review. Across one account, we test these candidate categories against final operational and financial records. This includes validating order lifecycle events, confirming fulfillment pathways, and reconciling statement-level data with actual payout flows. Each step is documented to maintain transparency and audit traceability. How TikTok Shop reimbursement recovery works — in 4 steps reflects a controlled and methodical workflow. We keep the scope small and the process transparent — from source records to an authorized case action and final financial verification. First, data is collected and normalized across orders, statements, and payout records. Second, discrepancies are identified and categorized according to policy-relevant criteria. Third, supported cases are prepared with clear documentation, ensuring that only eligible and substantiated items are submitted. Fourth, outcomes are verified against final financial postings to confirm resolution. TikTok Shop settlement reconciliation connects each order and SKU to final statement transactions, then bridges the Statement ID to the Payment ID, reserve activity and the bank deposit. Refunds, fee changes, reserves, commissions and FBT adjustments can post on different dates, so dashboard GMV should not be compared directly with a bank deposit. This distinction is essential for maintaining accuracy in financial interpretation and avoiding unsupported assumptions.