Updated on 2024-04-28 GMT+08:00

Exporting Bills

Huawei Cloud generates the final bill for each month's expenditures on the third day of the following month. It is made available for viewing or export at 10:00 a.m. on the fourth of the following month.

You can select the type of bills to be exported as you required.

Table 1 Exported Files

Bill Type

Function

File Format

Billing Period

Operations

Bill summary

Expenditure summary of the current month.

The summary is not updated in real time and cannot be used for reconciliation.

  • PDF
  • XLSX

By billing cycle

  1. Choose Billing > Bills, and click Export.
  2. Set Bill Type to Summary bill. Select the time and file format.
  3. Click Export.

Transactions

Transaction records, which can be used for reconciliation.

CSV

By billing cycle

  1. Choose Bills > Bill Summary, and click Export.
  2. Set Bill Type to Transaction Bills. Select the time and file format.
  3. Click Export.

Bill details

Usage and expenditure of each resource for the current account, which can be used to check commercial discounts.

CSV

  • By billing cycle
  • By day
  • By details
  1. Choose Billing > Bill Details.
  2. Select a billing cycle, set the dimension and data period. Click next to the search box.
  • In the PDF summary bill, the amounts are rounded off to the 2nd decimal place.
  • Exact amounts (accurate to the 8th decimal place) are displayed on the exported file in Excel or CSV format.