Payouts
Last updated
Last updated
After the client settles the bill in the location, the received amount is directed to the Adyen Platform, where the respective fees are deducted. Once this process is completed, the funds are credited to the Current Balance.
The final step is to transfer the money to the bank account. This process is called payout.
All funds are accumulated in this account. These funds are securely stored on the Adyen Platform until a payout is executed to the bank account.
Payout is the process of crediting respective amounts of each Current Balance to personal bank accounts. Payouts let Payments Users and Resellers receive their funds.
Payouts are available to track on the unTill Payments Portal.
For more information on how to track the payouts in the Accounting reports, refer to this page.
Funds are generated based on the card transactions within the location processed using unTill Payments.
Money from these transactions accumulates on the Current Balance.
In the specific timeframes, this money is moved from the Current Balance to the Payments User's bank account.
This movement of money is called a payout.
Payouts are processed automatically, based on the preconfigured conditions. Payments Users receive their funds based on the card transactions for the working day processed by unTill Payments.
Payouts for Payments Users are made to their bank account on the 4th day after the transactions, usually from 2 to 6 a.m.
Note: The day and the time of the payout can vary depending on the conditions of the payment processing.
Note: Sunday is not considered as a business day for payment processing. Following this, the payouts that include Sunday will be deposited later than on the 4th day after the transactions.
This feature becomes important when a payout is not processed correctly and your funds remain on the Current Balance on the Adyen Platform. In such cases, you have the option to click the Retry payout button to initiate the fund transfer again.
The amount from the unperformed payout will stay on your Current Balance and will not be included in subsequent daily payouts. This amount will remain there until you initiate the retry payout process.
For more information on how to initiate a retry payout action, refer to this page.
Payment Users receive invoices that detail the fees deducted from the transaction amount. These invoices can be viewed and printed from the payouts section of the Payments Portal.
For more information on how to receive and download an invoice, refer to this page.
The invoice includes the following fields:
Period: The timeframe for the invoice (Always 1 day).
Description: Elements like Payment fees, Processing fees, Acquirer fees, Subtotal, VAT, and Total.
Quantity: Specific fee values.
Amount: Total amounts of fees represented in euro (€).
On the Payouts page within the Payments Portal, you can view the current rates for the Processing Fee and Acquirer Fee as set by your Reseller. This page ensures you are always informed about the current rates.
Sales date | Payout date |
---|---|
Monday
Thursday
Tuesday
Friday
Wednesday
Saturday
Thursday
Sunday
Friday
Tuesday
Saturday
Wednesday
Sunday
Thursday
Who can use this feature?
Payments Users