Fund Withdrawal
Fund Withdrawal
  For fund withdrawal, please fill in Fund Withdrawal Instruction and Email hk.receipt_payment.brk@yuanta.com with account name and number in the subject line for reference.

Points to Note
Payment Method Amount Realization Date Charge
Cheque  Next business day Free 
Transfer / CHATS (Local) Same business day Bank charges of individual banks 
Remittance (Overseas) 1 - 2 business days  Bank charges 
* * Regarding all fund withdrawal instructions of securities /  futures / stock options, notifications must reach us before 1:00pm. All instructions received after the designated time will be processed in the next business day.

Fund Deposit
Fund Deposit
  Please follow the below instructions to make payment to Yuanta Securities (Hong Kong) Company Limited: 
  1. Local Bank Deposit
        Securities Futures Stock Options
    Bank (HKD) Bank Code Account No.  Account No.  Account No. 
    Standard Chartered Bank (Hong Kong) Limited 003 44716838314
    Yuanta Securities (Hong Kong) Company Limited - Client Account
    44717869698
    Yuanta Securities (Hong Kong) Company Limited - Client Account-HKFE Trade 
    44717869604
    Yuanta Securities (Hong Kong) Company Limited - Client Account
    The Hongkong and Shanghai Banking Corporation Limited 004 848162087292
    Yuanta Securities HK C L-Client A/C
    848162095292
    Yuanta Securities HK C L-Client A/C-HKFE Trade
     

    Bank of China (Hong Kong) Limited

    012 87500499938
    Yuanta Securities (Hong Kong) Company Limited - Clients' A/C
       
    Bank (RMB) Bank Code Account No.  Account No.  Account No. 
    Standard Chartered Bank (Hong Kong) Limited 003 44707803082
    Yuanta Securities (Hong Kong) Company Limited - Client Account
    4717869647
    Yuanta Securities (Hong Kong) Company Limited - Client Account-HKFE Trade
     
    Bank (USD) Bank Code Account No.  Account No.  Account No. 
    Standard Chartered Bank (Hong Kong) Limited 003 44716838357
    Yuanta Securities (Hong Kong) Company Limited - Client Account
    44700724012
    Yuanta Securities (Hong Kong) Company Limited - Client Account-HKFE Trade
     
  2. Remittance for overseas clients  
        Securities Futures Stock Options
    Bank (HKD) Bank Code Account No.  Account No. Account No.
    Standard Chartered Bank (Hong Kong) Limited 003 44716838314
    Yuanta Securities (Hong Kong) Company Limited - Client Account
    44717869698
    Yuanta Securities (Hong Kong) Company Limited - Client Account-HKFE Trade
    44717869604
    Yuanta Securities (Hong Kong) Company Limited - Client Account
    SWIFT NO. :SCBLHKHHXXX
    Bank (RMB) Bank Code Account No. Account No.  Account No.
    Standard Chartered Bank (Hong Kong) Limited 003 44707803082
    Yuanta Securities (Hong Kong) Company Limited - Client Account
    44717869647
    Yuanta Securities (Hong Kong) Company Limited - Client Account-HKFE Trade
     
    Correspondent Bank: Bank of CHina (Hong Kong) Limited
    SWIFT NO. : BKCHHKHH838
    Receiving Bank: Standard Chartered Bank (Hong Kong) Limited
    SWIFT NO. : SCBLHKHHXXX
    Bank (USD) Bank Code Account No. Account No. Account No.
    Standard Chartered Bank (Hong Kong) Limited 003 44716838357
    Yuanta Securities (Hong Kong) Company Limited - Client Account
    44700724012
    Yuanta Securities (Hong Kong) Company Limited - Client Account-HKFE Trade
     
    Correspondent Bank: Standard Chartered Bank, New York
    SWIFT NO. : SCBLUS33XXX
    Receiving Bank: Standard Chartered Bank (Hong Kong) Limited
    SWIFT NO. : SCBLHKHHXXX
* All crossed cheques, bank drafts and remittance should be made payable to: Yuanta Securities (Hong Kong) Company Limited.
Third party payment will not be accepted for all payment methods

(i.e. bank deposit, cheque deposit, transfer payment, overseas remittance)

* No matter the deposit is from Cash/Cheque/Bank transfer/Remittance, supporting documents like Bank-in-Slip, E-bank statements is required to be provided by the client to prove the source of fund.

* For cheque deposit, the client needs to provide the cheque receipt and cheque copy which can show the bank account number and client’s name clearly to verify the depositor. 

* For same day valuation of payment, please refer to the following instructions to confirm your payment. Confirmation of payment for Securities, Futures and Stock options Trading Account should be made before 5:00pm of Hong Kong local time, 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 Email hk.receipt_payment.brk@yuanta.com with account name and number in the subject line for reference.

 



Please make your payment through the following methods:

 

     

    1. Bank Deposit
      Cheque or bank drafts can be made directly to one of the above bank accounts of Yuanta Securities (Hong Kong) Company Limited.
    2. Bring a Cross Cheque to our Office
      Clients must write the account number at the back of the cheque and submit to our office before 3:30pm.
      The name of the cheque drawer must be the same as the account holder. (We do NOT accept cheques by third parties)
    3. Transfer Payment (ATM / Phone Banking / Internet Banking)
      Clients please state your client account number while using the aforesaid banking services. 
    4. Overseas Remittance (For Overseas Clients)
      Clients are required to state the client account number and account name on the remittance advice.

       

                                                             

    You can bring the following documents and come in person to YSHK office or branches to open your account:
    1. Identity proof
      (ID card or valid passport)
    2. Residential address proof
      (Public utilities bills, bank statement copies or / and documents issued by departments of the Hong Kong Government)
    If you are opening a Corporate Account, please refer to the check list below: