Credit balance, ledger, and billing periods explained
Credit balance, ledger entries, and billing periods: how org credit accounting is shown to owners.
Org owners review balance, ledger, and period usage under Organization Settings. The ledger lists credit grants and consumptions; balance is what remains available for new chargeable work.

Billing periods
Packages with monthly credit pools reset or replenish on the billing period defined for the org. Historical ledger rows remain for audit even after a period rolls.
Viewing usage is account scope (billing access / owner). Workspace members may see project-level usage when permitted by product UI, but package administration stays with owners.