Deposit guideline
24-05-2024

I. DOMESTIC CLIENTS

1. For accounts whose cash is managed by Japan Securities Co., Ltd.

a. Depositing money via designated account

Clients deposit/transfer money directly into securities trading accounts at Japan Securities Co., Ltd. (JSI) via a designated account opened at BIDV with the following details:

Beneficiary Account Number:

This is your 10-character securities account number at JSI, in the format: 101Cxxxxxx
Example: 101C000123

(Note: Please ensure the correct format is used, including the uppercase letter “C”.)

Bank:

Joint Stock Commercial Bank for Investment and Development of Vietnam (BIDV)

Beneficiary Name:

The name of the securities account holder

 

b. Depositing money into the bank account of Japan Securities Co., Ltd.

Clients deposit/transfer money into securities trading accounts at JSI with the following contents:

Beneficiary: CONG TY TNHH CHUNG KHOAN NHAT BAN

Account number and at bank: Please refer to the table below.

Remarks: Deposit cash into account 101C…..of <clients’ names>.

No.

Bank name

Branch

Account number

1

Joint Stock Commercial Bank for Investment and Development of Vietnam (BIDV)

Ha Thanh branch

122.183.5179

2

Joint Stock Commercial Bank for Investment and Development of Vietnam (BIDV)

Cau Giay branch

215.066.8476

3

Viet Nam International Bank (VIB)

Hoang Quoc Viet branch

021.704.066.989898

 

2. For accounts whose cash is managed by bank.

Please directly deposit/transfer into your cash accounts at banks in accordance with the branch network and bank’s regulations.

 

II. FOREIGN CLIENTS

Please directly transfer money into your Indirect Investment Capital Account (IICA)/Current account in accordance with the bank’s regulations.

 

– JAPAN SECURITIES CO., LTD. –