It's important to note that the payout amount may differ from the initially requested amount. This discrepancy can occur because the withdrawable balance is subject to reduction post the end-of-day process. During this process, charges and net obligations, including any trading losses for the day, are debited from the account.

The end-of-day process typically occurs around 6:30pm ,contingent upon the time at which exchanges share the end-of-day files. This ensures that the withdrawal reflects the most accurate and up-to-date financial position after accounting for the day's activities and obligations.