Our weekly pay periods run from Sunday through Saturday. You should receive your payout for the prior week by Wednesday (typically if using a Credit Union) or Thursday (typically if using a Bank) the next week. National holidays may delay that by a day or two.
You can view the amount you'll be receiving, when logged into your CM account, by going to your Advisor HQ, My Reports > Earnings > Earnings to be Paid.
If a deposit is not made the week following an order, typically there was an error with the banking information entered.
Those earnings are held until we're notified the error has been corrected, and then should be received by the end of the week after the information is updated. If no correction is made, a check for the year's accumulated earnings is sent at the end of the year, minus a $100.00 processing fee.