Paddle Lite: Sync retained fee fields in ADJUSTMENT
Connector name: Paddle Lite
Table name: ADJUSTMENT
Columns to add:
-
total_retained_feefromtotals.retained_fee -
payout_total_retained_feefrompayout_totals.retained_fee
API documentation: Paddle Adjustments API
Additional details: Paddle returns both retained fee values for adjustments, but the Paddle Lite connector currently does not extract them. We need the adjustment-currency and payout-currency retained fees for accurate refund fee reporting. Please add both fields for future syncs and provide a supported way to populate historical adjustments after release. Please confirm the destination column names and backfill behavior when available.
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