Note: CIS Group will only accept deposit from bank account as held by you. Otherwise, it may cause funds rejected or delay in deposit.
Please click above “I deposited !” button to inform us once you have made a deposit to our CIS’s designated bank accounts. Meanwhile, you can also inform us by using the “Deposit Notice” function within our other trading platforms.
Clients could deposit fund to our designated bank account- “CIS Securities Asset Management Limited” or「順安證券資產管理有限公司」.
Clients could deposit fund to below designated bank accounts base on the product and currency types.
For customers who made a deposit through telegraphic transfer (T/T), the bank account details are as below,
Name: BANK OF CHINA (HONG KONG) LIMITED
Account Number: Please refer to the bank account number of BOCHK as stated above
Address: BANK OF CHINA TOWER, 1 GARDEN ROAD, CENTRAL, HONG KONG
SWIFT CODE: BKCHHKHHXXX
Clients could process fund transfer instruction through all FPS participants (including banks and stored-value facilities (SVFs). Please use below FPS ID to make fund deposit to CIS. 。
For customer’s best interest, customer should under no circumstance allow any party to use the account as maintained with us for any securities dealing. For any enquiry or assistance, please Contact Us.
CIS will not accept any form of third party fund deposits and deposit by cash. If there is any third party deposit found, CIS shall reject the deposit and arrange to return fund back to the source of deposit soonest possible. CIS shall not be liable to client or any third party for any interests, charges, expenses, claims, losses, costs and damages arising from rejected fund deposits on a timely basis.
(Please note that for clients whose opened account online, the deposit bank account should be the same as the bank accounts registered in CIS.)
CIS has the right to refuse any suspicious transaction and reserves the right to make the final decision on the above arrangement.