Open Transactions
- Open the account workspace
- Select Billing in the account sidebar
- Find Transactions beside the plan and credit controls
Read a transaction
Each row shows:- Date in UTC
- Activity that added or used credits
- Details, including the project when available
- A signed Amount
Activity types
The ledger can include:- Monthly allowance and Monthly allowance expired
- Credit pack
- Credit adjustment
- Content generation and Content generation refund
- Agent run pending, Agent run estimate, and Agent run completed
Agent run transactions
An agent run uses a reserve-then-settle flow:- Agent run pending reserves the estimated credits before the run starts.
- When the run finishes, Agent run completed shows the final measured cost.
- The pending estimate is marked Replaced by final amount and displayed with a line through it so it is not mistaken for an additional charge.