Method

How a reading proceeds

A sitting is a sequence of file checks, not a performance. This page is the map we send after you book a full revenue reading.

People seated at a long table with notebooks during a working session

Before the first morning

You receive a file list: which months, which store reports, which refund exports, and whether advertising settlements are in scope. Five days later we confirm what arrived. Missing files do not cancel the sitting; they shrink the letter.

Day one

We begin with payout timing. Apple and Google do not credit the studio on the same rhythm. We mark proceeds, taxes the store withholds, and the bank credit you actually saw. After lunch we open subscriptions: trials converting, billing retry, grace, and refunds. If a colleague remembers a price change that the store history does not show, we write the disagreement in the margin and keep going.

Day two

In-app packs occupy the morning: units, price tiers, regional prices, and SKUs that sold nothing. Advertising settlements occupy the afternoon only when you asked for them. Otherwise we return to any thread that still has a hole.

The letter

Within five working days you receive a letter of six to ten pages. It names movements in ringgit or in the store’s currency as exported. It does not attach a slide deck. A half-day follow-up is included so the person who keeps the live listing can ask about a single paragraph.

Aftercare

Some publishers book a quarterly revenue sitting. Others return only when a month looks wrong. Both are fine. The method does not require a year of appointments.

When you are ready, ask for a revenue reading.