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Why is my Net Payout Amount different from my Withdrawal Request Amount?

The payout credited to your bank account may be lower than the amount you requested if your withdrawable balance changes before the payout is processed.

This can happen due to one or more of the following reasons:

  • Trading losses or net obligations are adjusted after the end-of-day settlement.

  • Exchange charges, statutory charges, or other applicable deductions are debited from your trading account before the payout is processed.

  • Funds from recently sold holdings or intraday profits may not yet be available for withdrawal until the settlement is complete.

  • Funds added to your trading account on the same day are available for trading but cannot be withdrawn until the next working day.

  • If the requested amount exceeds your final withdrawable balance, only the available withdrawable amount will be transferred to your registered bank account.

Example:

Withdrawal requested: ₹10,000

End-of-day charges and obligations: ₹2,000

Final withdrawable balance: ₹8,000

In this case, ₹8,000 will be credited to your bank account.


If you believe the credited amount is incorrect, please review your Funds Statement/Ledger on
Flattrade Wall platform for the deductions or contact our support team at [email protected] or call us at 044-61329696 / 044-35019696