Hi @Arpit_Gupta2, we have explained how the cancellation flows work and future update on other thread here:
Is this behavior expected for all equity mutual fund purchases via net banking?
It’s applicable across all payment modes, including UPI. Once the payment is reported and mapped to the order, the Exchange does not accept further cancellation.
Why was NAV for yesterday not allotted to me?
For equity schemes, the order status and units settlement to the demat account happen by the end of the day on T+1 day. Read more.
If units still don’t reflect, please DM me your client ID or ticket number, and we’ll look into it further.