Step 1 of 2 — the top of the carrier's "Owner Operator Settlement Summary". Next you'll add each load on it.
Whose sheet this is. Its loads are matched against this carrier's loads.
Top of the sheet. It's really the direct-deposit reference.
Hyway Transportation sends one sheet per account, like LJMT434.
When the money lands.
The last number at the bottom. We'll check the settlements add up to it.