Details.
Adyen settles the merchant's daily transaction volume on the agreed business day after the transaction day, subject to regional availability, supported payment methods, currencies, sub-account approval and the conditions in the terms. The net captured volume equals captured volume minus refunds initiated on the transaction day and related fees, transaction fees, chargebacks and settlement reversals, and other amounts due to Adyen. Specific payout days depend on transaction currency, associated volumes, and the country or region where the transaction is acquired. Weekend transaction days use the payout day of the preceding Friday. Payouts may be delayed or withheld in certain circumstances, including insufficient funds, non-payment by scheme owners or acquirers, a negative balance, or merchant default.
