Version 1.0 · Published 12 June 2026 · Document type: PAYOUT_SETTLEMENT
1. Settlement cycle
Eligible earnings are aggregated per settlement period (typically weekly) after session completion or pass redemption, minus platform fees, refunds, and chargebacks.
2. Payment method
Payouts are made to verified bank accounts via NEFT/IMPS or Razorpay Route as configured. Incorrect bank details delay payment.
3. Deductions
GST, TDS where applicable, and dispute holds may reduce net payout. Statements are available in provider dashboards.
4. Disputes
Report settlement discrepancies within 15 days with transaction references.