The release of statements and disbursement of funds (after all applicable fees are deducted) will follow the schedule below:
For orders fulfilled between... | The statements will be ready on... | The funds will be disbursed on... |
1st to 15th day of the month | 3 working days after the 15th | 6 working days after the 15th |
16th to 30th/31st day of the month | 3 working days after the 30th/31st | 6 working days after the 30th/31st |
Have more questions? Contact our Finance Team at [email protected].