Reference

Open with petir jitu Terms & Conditions

petir jitu Terms & Conditions explain how you open, use and protect your account, with clear rules for the lobby, wallets and account checks.

Account eligibilityWallet checksPolicy access
petir jitu Open with petir jitu Terms & Conditions
CONTACT PATHS

Contact Us When Terms Need Clarifying

A clear contact path helps when a clause affects your account or wallet status. We ask you to send the exact question, your registered phone number and any relevant receipt reference so our support desk can locate the right account record. If you are in Bandung or elsewhere in Indonesia, use the same policy contact path rather than opening duplicate accounts while a question is being checked.

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Account wording

Ask our support desk to explain an eligibility, phone verification or account-access clause before you continue. Include the section heading so we can respond to the exact policy point.

Wallet status

For DANA, OVO, GoPay, QRIS or bank transfer questions, send your payment reference and receipt. We use those details to compare the wallet status with the account record.

Change request

If a personal detail needs correction, contact us from the registered account path. We may ask for an account check before changing phone, identity or payment information.

ACCOUNT SAFEGUARDS

Protect Your Account Under These Terms

The policy explains what we collect, why we use it and how long account records may remain available for checks.

Data handling

We use account details, phone verification results and transaction references to provide access, check ownership and respond to policy questions. We do not ask you to send passwords through the support path.

Cookies

Cookies and similar browser storage can keep your sign-in path and policy preferences working. Your browser settings control these files, although changing them may affect account access.

Account security

Your account remains tied to its registered phone and verification step. Do not share access details, and contact us promptly if another device appears to have used your account.

Record retention

We retain account and transaction records for operational checks, policy requests and legal obligations where applicable. The Terms & Conditions explain how retention may apply to your records.

Policy changes

When we amend these Terms & Conditions, we publish the revised wording through the policy access path. Check the displayed date and read the changed sections before continuing.

Who to contact

Use our support desk for data questions, access corrections or policy requests. Provide your registered phone number and the relevant clause, but never include your password.

Find Answers About These Terms

These questions cover the account and payment points most often raised before registration. Read the full Terms & Conditions as well, especially the clauses on eligibility, verification, wallet ownership, policy changes and access where local law permits.

They cover account creation, phone verification, permitted access, wallet ownership, transaction checks, personal data, policy changes and the steps we may take when account details do not match.

Access depends on local law. Before opening an account, confirm that this type of service is permitted where you are located and follow the eligibility wording in our Terms & Conditions.

Phone verification helps connect the account to the correct person before access is granted. It also supports account recovery and gives us a reference when a wallet or transaction needs checking.

Yes. The terms apply when you use DANA, OVO, GoPay, QRIS, bank transfer or a virtual account. Payment ownership, matching details and receipt checks can affect transaction handling.

Contact our support desk through the registered account path with the requested correction. We may check your phone or identity details before changing account or payment information.

Send a data question to our support desk and name the relevant clause. We can explain how account, verification and transaction records are handled under the published Terms & Conditions.

We publish revised wording through the policy access path and show the applicable date. Read the amended sections before continuing, especially if they affect eligibility, account checks or payment use.