Payout settings
-
What is Revenue Day Payouts, how does it improve my operations and how do I enable it?
Revenue Day Payouts is a setting that makes each payout amount equal to the revenue generated through Mollie on a specific date. This...
-
When do I receive my money from Mollie?
After receiving payments (i.e. revenue) from your customers, your funds will be added to your Mollie balance and thereafter transferr...
-
Why is Revenue Day Payout not available for me?
This article explains why you can’t enable Revenue Day Payouts or why it has been disabled for your organisation. If you want to know...
-
Can I leave funds on my Mollie balance?
The balance reserve allows you to retain funds on your balance to be used for refunds. By setting a reserve, you don’t have to do a t...
-
What is a liability period?
A liability period is a timeframe during which a customer can dispute a transaction with their bank and request a refund through a ch...
-
How can I change when I receive a payout?
When you work with Mollie, you decide when you’re paid. You can choose from a number of options depending on the payment methods you’...
-
My payout has been returned to Mollie's bank account. What should I do?
We will notify you if your payout has been returned to our bank account. If this happens, please make sure that the bank account deta...
-
Will I receive payouts on public and bank holidays?
Mollie processes payouts on business days. If a payout is scheduled for a public-, or bank holiday, you will be paid on the next busi...