I. DOMESTIC CLIENTS
1. To clients whose accounts’ cash managed by Japan Securities Co., Ltd.
Clients deposit/transfer money into securities trading accounts at JSI with the following contents:
Beneficiary: Japan Securities Co., Ltd.
Account number and at bank: Please refer to the below table.
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 |
1221.000.1835.179 |
2 |
Joint Stock Commercial Bank for Investment and Development of Vietnam (BIDV) |
Cau Giay branch |
215.10.00.0668476 |
3 |
Vietnam Maritime Joint – Stock Commercial Bank (Maritime Bank) |
Dong Da branch |
011.01.01.0556688 |
4 |
Viet Nam International Bank (VIB) |
Hoang Quoc Viet branch |
021.704.066.989898 |
2. To clients whose cash accounts are opened at commercial bank and connected with securities trading accounts at JSI.
Please directly deposit/transfer into yours cash accounts at banks in accordance with branch network and bank’s regulations.
II. FOREIGN CLIENTS
Please directly transfer money into your Indirect Investment Capital Account (IICA) at bank with branch network and bank’s regulations.