> ## Documentation Index
> Fetch the complete documentation index at: https://docs.turtles.com/llms.txt
> Use this file to discover all available pages before exploring further.

# Balance

> Managing revenue, withdrawals, and reconciliation

### Overview

The Turtles Balance dashboard provides a real-time ledger of your balance and payouts. We streamline operations by automating payouts directly to your connected bank account, ensuring predictable cash flow without manual invoicing.

### Payout schedule

We process settlements on a weekly cadence to the bank account on file:

* **Frequency:** Weekly automated transfers
* **Method:** Direct ACH deposit
* **Fees:** \$0 for standard weekly processing

### Expedited access

We understand that inventory cycles occasionally require faster liquidity. Partners may request a one-time priority payout for urgent capital needs.

Please contact your **Account Manager** to request an exception. Approval is subject to account health and volume review.

### Reconciliation

The Seller Portal provides a granular ledger for financial tracking. Each payout includes:

* **Amount:** Gross sales minus the 7% platform fee
* **Payout ID:** Unique reference code for payout matching
* **Destination:** The bank account on file at the time of payout
