
How earnings are calculated, when they're paid, and how partners and clients pull them out. Covers withdrawal SLAs, PAMM & Copy Trading performance fees, and the IB rebate cycle.
This document is the back-end of the trading lifecycle the part where money leaves 10X and lands with clients, IBs, and money managers. Every other doc in the hub explains how a partner or client gets set up; this one explains how they get paid. Three sections, each addressed to a specific audience and answering a specific question: when, how much, and via what process.
The mechanics of pulling funds out of a 10X / MarketsVox account methods, processing windows, and what triggers a hold.
How performance & management fees are split on PAMM offers and Copy Trading subscriptions when they trigger and where each party sees them.
How rebates are calculated for IB-attributed clients, the payout cycle, and where IBs see their accruals and payouts. Bridges directly off Doc 07 (the operational side of being an IB).
The structure and section coverage are locked in step-by-step content (with screenshots, calculation worked examples, and SLA tables) is still being authored. Use this outline to see what's coming; reach out to the 10X team if you need a specific answer before the full doc ships.
A full inventory of the topics each section will cover when this doc is built out. Topics are listed in the order they'll appear in the finished document.
Return to the index to jump into the other flow documents while Doc 08 is being completed.