The problem is when I look at the two different balances, the assumption is that available = current - [balance that's not yet 30 days old]
But the truth is, available = current - [balance that's not yet 30 days old] - fees
But if we do "available = current - [balance that's not yet 30 days old]" like this.. the problem is that the available is $25 but you can't cash out. So we made like "available = current - [balance that's not yet 30 days old] - fees". So if it says $25, you can cash out $25. Anyway, thank you for the feedback. I'll talk with the team about this to improve (reduce confusion) this.