Payout Information
Payouts run through the challenge workflow, compliance checks, and configured payout methods even before full broker-side automation is online.
Eligibility
Funded traders request payouts from the account portal after meeting the configured trading-day, cooldown, KYC, and compliance requirements.
Review flow
Payout requests pass through operations, risk, and compliance states so the team can review them manually when needed.
Audit trail
Each payout request keeps status history and can be cross-checked with challenge metrics, legal acceptance, and payment records from admin.