info@chinayss.hk
+852 2626-0778

Fund Deposit / Withdrawal

2) Fund Deposit / Withdrawal

The following bank accounts are used for Fund Deposit:

銀行名稱
Bank Name
銀行編號
Bank Code
賬戶號碼
Account No.
幣值
Currency
銀行地址
Bank address
銀行代碼
SWIFT code
中國工商銀行(亞洲)
INDUSTRIAL AND COMMERCIAL BANK OF CHINA (ASIA)
072 861-512-04226-1 港幣HKD 香港中環皇后大道中122-126號地庫至一樓
Basement, Ground Floor and First Floor of 122 QRC, Nos. 122-126 Queen’s Road Central, Hong Kong.
UBHKHKHHXXX
861-507-00662-3 美元USD
861-560-02458-7 人民幣RMB
香港滙豐銀行
HSBC
004 511-637266-001 港幣HKD 香港滙豐總行中環皇后大道中1號
HSBC Main Building, No. 1 Queen’s Road Central, Hong Kong.
HSBCHKHHHKH
511-637266-274 美元USD

 

For cheques or cashier’s cheques please write「China Yinsheng International Securities Limited – Client Account」as payee.

Please kindly remark the Account Name and Account No. on the pay-in-slip after the fund transfer and fax to our Settlement Department at (852) 2111 1052 or email to settlement@chinayss.hk. Should you have any enquiries, please feel free to contact us at (852) 2626 0778.

Notes:

  1. The cut-off time for withdrawal will be at 12:00 noon every business day, for any withdrawal requests received after the cut-off time will be handled on next business day
  2. The cut-off time for handling deposit will be at 4:00pm every business day, for any deposits received after the cut-off time will be handled on next business day. For any fees charged by the receiving bank will be deducted from the amount of deposits.
  3. Please be noted that we will accept money which is withdrawal or deposit from the third party’s bank account. Once we have observed, the money will be refunded to the transferor’s account. Moreover, the refunding process will be 2 weeks to 1 month.

Funds Withdrawal

Fax / email

  1. Client can download “Account Withdrawal Slip” from our site, fill in the form with customer signature(s) (the signature(s) must same as Account Opening Form) by fax to ( 852 ) 2111 1052 or email to settlement@chinayss.hk.
  2. The cutoff time of funds withdrawal is 12:00pm at every trading day (HK market). Funds withdrawal thereafter will be processed on the next trading day.

Client receivable account must be registered under our company. If you want to update the account information, the form is obtainable by downloading “Change of Particular(s)” from this website: www.cslsec.com. Please complete & sign the form and mail the original copy to our company (signature must be consistent with account opening form)