To settle a securities purchase transaction, client shall deposit or transfer cheque to the following accounts on or before the settlement day, or atany time specified by the Company:
Bank： Bank of China(Hong Kong) Limited
A/C No.： 012-891-2-001761-1
A/C Name： Wan Lung Securities Limited
SWIFT Code： BKCHHKHH
Clientshall then mark his name and account number on the bank-in slip and then faxthe same to (852) 3700-8999 or email to firstname.lastname@example.org by 3:30p.m. as depositconfirmation.
For cash withdrawal, after submitting the fund withdrawal form by fax or email, the Company will issue cheque payable to the Client only and deposit into client’s bank account as specified on the Client Information Statement.
Under normal circumstances, the Company will not accept third party cheque and will not issue cheque payable to third party.
Please fax the "FUND DEPOSIT/WITHDRAWAL FORMS" form to (852) 3700 8999 before 11:00am HK time on business day. Instructions received after the cut-off time or on Saturdays, Sundays and public holidays will be processed on the next business day.