What is the payout schedule for Braintree transactions?
Braintree Payments has a payout schedule that typically involves a process where funds from transactions are transferred to a merchant's bank account. Generally, Braintree operates on a two-day rolling payout schedule for most businesses. This means that transactions processed during one day are typically included in the payout on the following day, and the funds usually reach the merchant's bank account on the second business day after that.
For example, if a transaction is processed on a Monday, it may be included in the payout on Tuesday, and the merchant could expect to see those funds in their bank account by Wednesday. However, it is important to note that the schedule may vary based on a variety of factors, including the type of business, the merchant’s processing history, or specific agreements.
Merchants are encouraged to check their Braintree dashboard for the most accurate information regarding their specific payout schedules and any potential holds on funds. For the latest details on payout timing and any updates, it is advisable to review the relevant sections on the official Braintree website.
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