Service & Support
   
Fund Deposit & Withdrawal
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Fund Deposit
Please follow the following instructions to make payment to your account held with Polaris Securities (Hong Kong) Limited
  1. (Local bank deposit - Bank information is as follows)
      Securities Trading Futures Trading Leveraged
    Foreign Exchange
    Name of Bank (HK Dollar) Account Number Account Number Account Number
        Standard Chartered Bank (Hong Kong) Limited 003-447-0-047130-0 003-447-0-072694-5 003-447-068-06762
        The Hongkong and Shanghai Banking
        Corporation Limited
    004-600-855696-001 004-600-855696-004  
        Bank of China (Hong Kong) Limited 012-709-0-001321-4    
        DBS Bank (Hong Kong) Limited 016-478-781102113    
    Name of Bank (US Dollar)
        Standard Chartered Bank (Hong Kong) Limited 003-447-1-063280-3 003-447-0072-4012 003-447-068-06843

  2. (Remitance for Clients outside Hong Kong - Bank information is as follows)
    SWIFT NO. :SCBLHKHHXXX Securities Trading Futures Trading Leveraged
    Foreign Exchange
    Name of Bank (HK Dollar) Account Number Account Number Account Number
        Standard Chartered Bank (Hong Kong) Limited 003-447-0-047130-0 003-447-0-072694-5 003-447-068-06762
    SWIFT NO. :SCBLHKHHXXX
    Name of Bank (US Dollar)
        Standard Chartered Bank (Hong Kong) Limited 003-447-1-063280-3
    003-447-0072-4012 003-447-068-06843
    Name of correspondent Bank: Standard Chartered Bank, New York
    Swift No.: SCBLUS33XXX
All crossed cheques, bank drafts and remittance should be made payable to:Polaris Securities (HK) Limited
* Third party payment will not be accepted for all payment methods
   (i.e.: Bank Deposit, Cheque Deposit, Transfer Payment, Overseas remittance)
* For same day valuation of payment, please refer to the following instructions to confirm your payment, confirmation of payment should be made before 5.00p.m. or it will be processed on the next business day:
  1. Sign on the copy of the bank pay-in slip with client's account number and account name quoted and fax it to the Settlement Department at (852) 2866-4656; or
  2. Contact your Account Executive for confirmation of payment.

¡° Leveraged Foreign Exchange Account: Confirmation of payment made before 3:00 p.m. will be valued by 6:00 p.m. on the same business day; confirmation of payment made after 3:00 p.m. will be valued on the next business day.

Please make your payment through the following methods:
  1. Bank Deposits
    • Cheque or Bank Draft can be made directly into one of the above bank accounts of Polaris Securities (HK) Limited.
  2. Delivery of Crossed Cheque to Our Office
    • Client account number must be written down on the back of the cheque, deliver to our office before 3:30p.m.
    • The name of the drawer of the cheque must be same as the name of the account holder
      (i.e. no third party cheque will be accepted)
      .
  3. Transfer Payment (ATM / Phone Banking / Internet Banking )
    • It would be grateful if client can make a note/reference of client account number while using the aforesaid banking services for payments.
  4. Overseas remittance (for clients outside Hong Kong)
    • Clients must make a note/reference of the client account number and account name held with Polaris Securities (HK) Limited on the remittance advice.

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Fund Withdrawal
For fund withdrawal, please contact your Account Executive or fill in the Fund Withdrawal Instruction properly, and fax the Instruction to (852)2866-4656.
Points to note:
Method of Payment Amount Realization date Charges
    Cheque     Second business day after Fund
    Withdrawal Instruction be notified
    Free
    Transfer / CHATS(for local)     Same business day     Bank fee will be applied for
    individual bank
    Remittance (for overseas)     One to Two business day after Fund
    Withdrawal Instruction be notified
    Bank fee will be applied
* All fund withdrawal instruction of Securities and Futures must notify us before 1:00 p.m., fund withdrawal instruction notified after the designated time will be processed in the next trade day.
* All fund withdrawal instruction of Leverage Foreign Exchange Trading must notify us before 3:00 p.m., fund withdrawal instruction notified after the designated time will be processed in the next trade day.