Provider finance separates period earnings from all-time available to withdraw. This prevents short reporting windows from being mistaken for payout balance.
Metric meanings
- Period earnings reflect the selected range such as today, week, month, year, or all.
- Available to withdraw is the all-time settled balance that is not already queued for payout.
- Platform fees deducted and refunds this period explain why gross sales and net earnings differ.
- In queue shows payout requests that are already submitted but not completed.
Requesting a payout
Request payouts from Finance or Payouts. The dialog lets you choose an amount, select a payout bank account, add notes, and add or verify a bank account inline when needed.