Financials

Financials

Purpose

Track financial performance and manage transactions across your GPU fleet. The Financials page provides comprehensive visibility into your earnings, payouts, and transactions.

Overview Tab

High-level financial metrics and visualizations for quick performance assessment.

Key Metrics

Wallet Balance: The current USDC balance in your connected wallet, available for payouts and operations. We recommend maintaing a balance of ≥ 1.5x upcoming 30-day payouts. Click "Transfer" to add funds.

Next 30D Payouts: Estimated payouts for next 30 days based on current earnings data. As a critical part of cash flow planning, this metric updates daily.

Gross Earnings: Total revenue generated by all GPUs before owner payouts

Payouts to Owners: Total amount paid to GPU owners. Will lag behind earnings by approx. 30 days as earnings need to age to account for chargebacks and finalization.

Net Earnings: Gross earnings minus owner payouts—your revenue after obligations. Includes platform fees (if applicable).

Charts and Visualizations

Earnings Over Time: Track revenue trends and identify patterns. Filter by date range (daily, weekly, monthly views) to see both daily and cumulative earnings while identifying seasonal trends across your filtered dataset.

Average Gross Card Earnings: Compare performance across GPU types using percentile views (10th, 25th, 50th, 75th, 90th). Filter by GPU type (RTX 4090, RTX 5090, H100s) and display rates per-hour or per-month to benchmark against expectations. Use this to identify high-performing GPU types, compare against market rates, validate pricing strategies, and plan hardware procurement.

Asset ARR (Annual Run Rate): Project annualized returns for different GPU types by viewing percentage returns over time. Compare trends for every GPU type in your fleet and filter by date range to forecast future performance, compare investment efficiency, and guide purchase decisions.

Earnings Tab

Detailed transaction-level earnings data for comprehensive analysis.

Information displayed per transaction:

  • Date: When earnings were generated
  • Vendor: Platform where GPU was rented
  • GPU Type: Hardware model
  • GPU ID: specific GPU identifier
  • Earnings: Amount generated

Filter options:

  • By date to select date ranges, compare periods, and track specific timeframes.
  • By vendor to compare vendor performance, identify best-performing platforms, track vendor-specific issues, and validate sync accuracy.
  • By GPU type to analyze per-model performance, compare across hardware types, identify underperformers, and guide procurement decisions.

Search: Search specific transactions to find by GPU ID, locate specific dates/amounts, investigate anomalies, and maintain audit trails.

Export: Export earnings data in CSV format including all filter criteria for external analysis and tax/accounting purposes.

Use Cases

Weekly Performance Review:

  1. Set filter to "Last 7 days"
  2. Sort by earnings (descending)
  3. Identify top and bottom performers
  4. Investigate $0 earning GPUs

Vendor Comparison:

  1. Group by vendor
  2. Calculate average per vendor
  3. Compare against vendor SLAs
  4. Address underperformance

GPU Type Analysis:

  1. Filter by specific GPU type
  2. Calculate average earnings
  3. Compare to benchmarks
  4. Inform purchase decisions

Payouts Tab

Manage scheduled and completed owner payments.

Upcoming Payouts

View and process pending payments to GPU owners.

Information displayed:

  • Scheduled Date: When payout is due
  • GPU Type: Hardware generating earnings
  • GPU ID: Specific GPU
  • Token ID / Address: NFT identifier
  • Owner: Owner name and wallet
  • Owner Address: Payment destination
  • Amount: Payout amount

Actions: Use Pay Now to process individual payouts immediately. See: Paying owners for detailed guidance.

Use cases: Review upcoming obligations, process early payment requests, verify payout accuracy before processing, and monitor cash flow requirements.

Past Payouts

Historical record of completed payments including complete payment history, transaction hashes, payment dates and amounts, owner information, and GPU/NFT details.

Actions available: Search past transactions, export payment records, verify payment completion, and generate owner reports for audit trail maintenance, owner inquiry responses, tax documentation, and financial reconciliation.

All Transactions Tab

Complete transaction history including wallet transfers and payments.

Information Displayed

  • Date: Transaction timestamp
  • Sender Address: Origin wallet
  • Recipient Address: Destination wallet
  • Amount: Transaction value
  • Type: Earnings, Payout, Transfer, etc.
  • Transaction Hash: On-chain identifier

Actions available: Filter transactions by date range, transaction type, wallet address, and amount range. Export transaction data in full or filtered CSV format including all metadata for accounting systems. Sort by date (newest/oldest), amount (high/low), transaction type, or sender/recipient.

Use Cases

Monthly Reconciliation:

  1. Export all transactions for month
  2. Import to accounting software
  3. Reconcile with bank statements
  4. Verify all entries balanced

Audit Trail:

  1. Filter to specific time period
  2. Review all transactions
  3. Document any anomalies
  4. Maintain compliance records

Owner Inquiry:

  1. Search by owner address
  2. Find specific payment
  3. Provide transaction hash
  4. Confirm payment delivery

Financial Monitoring

Daily Checks

Dashboard Review (2-3 minutes): Check wallet balance, review next 30D payouts, compare balance to obligations, and top up wallet if needed.

Earnings Verification (5 minutes): Review earnings chart for anomalies, check latest earnings transactions, verify expected daily totals, and investigate significant deviations.

Weekly Analysis

Performance Deep Dive (30 minutes): Export last 7 days earnings, calculate per-GPU averages, compare week-over-week, and identify trends and issues.

Payout Planning (15 minutes): Review upcoming payouts, verify wallet balance is adequate, schedule payment processing, and communicate with owners if needed.

Monthly Reconciliation

Complete Financial Review (2-3 hours): Export all transactions, download monthly statement, reconcile with internal records, generate stakeholder reports, and archive documentation.

Key Performance Indicators

Financial Health

Wallet Balance Ratio: Target ≥ 1.5x next 30D payouts (Warning: < 1.2x, Critical: < 1.0x).

Gross Earnings Growth: Track month-over-month percentage growth against capacity additions (Target: positive growth).

Payout Ratio: Owner payouts divided by gross earnings, typically 60-80%. Higher ratios mean more goes to owners, lower ratios mean more provider revenue.

Net Margin: Net earnings divided by gross earnings. Target depends on your business model—monitor trend over time and optimize through efficiency.

Operational Efficiency

Average Earnings per GPU: Track by type (4090, 5090, H100), compare to benchmarks month-over-month, and use to guide procurement decisions.

Utilization Rate: GPUs earning divided by total GPUs (Target: > 95%). Track daily and address gaps quickly.

Payment Timeliness: Percentage of payouts processed on schedule (Target: 100%). Track failures and delays to maintain owner trust.

Troubleshooting

Earnings Don't Match Vendor

Check: Date range alignment, time zone differences, sync status, and whether you're comparing gross vs net figures.

Action: Cross-reference specific GPUs, verify sync status, and contact support if there's a large discrepancy.

Missing Transactions

Check: Date filter settings, transaction type filters, whether the page has refreshed recently, and network confirmation status.

Action: Clear all filters, refresh the page, and check the block explorer if transactions are still missing.

Incorrect Payout Totals

Check: Time period calculation accuracy, whether all GPUs are included, if recent pairings are reflected, and data sync completion status.

Action: Review individual GPU earnings, verify totals in the Earnings tab, and recalculate manually to identify discrepancies.

Best Practices

Data Management

Export data monthly as a minimum retention requirement, maintain multiple backups in both cloud and local storage, organize files by month and year, and document any anomalies with explanations for deviations.

Cash Flow

Maintain a buffer of 1.5x upcoming payouts minimum, monitor balance daily every morning, and schedule top-ups before running low.

Reporting

Establish a regular cadence (weekly internal, monthly external), focus on key metrics without overwhelming stakeholders with data, include trend analysis to show change over time, and provide context to explain significant changes.

Compliance

Retain records for 7+ years to meet tax and legal requirements, record all blockchain transaction hashes, maintain owner records that match 1099 requirements (if applicable), and keep a complete and accessible audit trail.

Integration with Other Pages

Hardware Connection

Earnings are tracked per GPU with GPU IDs linking to the Hardware page. Performance data is synchronized in real-time across both pages.

Owners Connection

Payout data feeds from earnings data, owner information is synchronized across both pages, and payment processing updates reflect in both views for consistency.

NFTs Connection

Earnings are tied to paired NFTs with token IDs referenced in transactions. Owner payments follow NFT ownership, and pairing status impacts earning tracking.

Related Guides

Monitoring your financials - Complete monitoring guide | Paying owners - Payment processing | Best Practices - Financial management guidelines