We recommend you separate the data for the Wallets imports, so you are able to view the single balances for each job on the "Balance by Exchange" page and to in/exclude it in different analyses and reports tools.


This can be achieved by setting a label for the Wallet import in the API job settings. After saving it, you can now import it separated for various views

You can use the "Grouped by Trade-Group" setting on the "Balance by Exchange" page and filters on different pages to sort the display according to group.