How to bill for passthrough fees

Learn how to effectively bill passthrough fees incurred during payroll processing.

What are passthrough fees?

Passthrough fees are charges incurred during payroll processing that Check passes on to Partners. You may choose to bill these fees directly to companies. These fees typically stem from company-driven activity or edge-case processing scenarios.

Accessing passthrough fee data

You can retrieve billable usage data in two ways:

Using the Usage API

Integrate directly with Check’s Usage API to programmatically pull line items by company and month.

The table below outlines which fees are surfaced via the API and how often Check bills them to you:

Check fee
Passthrough?
Billed to Partner?
In Usage API
Cadence
Failed employee validation or payment (including NOC)
Yes
Yes
Yes
Monthly
Payroll funding via wire
Yes
Yes
Yes
Monthly
Unsuccessful funds transfer return
Yes
Yes
Yes
Monthly
Next-Day Pay
Yes
Yes
Yes
Monthly
Delayed filings (due to no fault of Check)
Yes
Yes
Yes
Monthly
Year-end filings for offboarded companies
Yes
Yes
No
Annually
Product partnerships
Yes
Yes
No
Monthly
Year-end printed W-2/1099 returns
Yes
Yes
No
Annually
Amendments
Yes
No
No
Monthly
Attempted reversal of employee payment
Yes
N/A
N/A
Monthly

Downloading a report from Console

You can also download passthrough fee data via Console:

  • Go to the Reports tab in Console (Admin access required).
  • Select the desired month and report type.
  • Check will generate a usage report and email it to you.
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Last updated on May 29, 2025