All Collections
Payments & Payouts
Hong Kong
Bi-weekly Disbursement Schedule (HK)
Bi-weekly Disbursement Schedule (HK)
Updated over a week ago

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].

Did this answer your question?