Cash dividends are typically booked into your Cornèrtrader account on the pay date. However, corporate actions involving popular stocks (such as UBS, Zurich, Nestlé, etc.) may require additional processing time, so the booking may appear in your account a few days after the pay date.
For CFDs, dividends are booked as cash adjustments, minus the default withholding taxes, once the depository agent confirms the amounts.
In the case of short CFD positions, the cash payment will instead be debited from your account.