Fund Deposit / Withdrawal
Fund Deposit (CASH AND THIRD PARTY DEPOSIT WOULD NOT BE ACCEPTED (INCLUDING CASH, CHEQUE, TRANSFER & REMITTANCE ETC.)

Bank Deposit

Clients can deposit made payable to "Public Securities Limited" via designated banks before 4:00 pm on each business day. The designed banks are as follows:

存款銀行 (Bank Name) 港元銀行戶口號碼 (Account Number)
大眾銀行 Public Bank (Hong Kong) 0714-373663-001
匯豐銀行 HSBC 600-619712-001
中國銀行 Bank of China (Hong Kong) 012-916-0-001588-0

The Client should fax a copy of pay-in slip (please mark Client name and account number) to our Settlement Department at (852) 2845 5240 or email to cs@publicsec.com.hk and should call our designated phone number (852) 3929 2850 to inform our Settlement staff. To keep the pay-in slip in proper for record is the responsibility of the Client. If the Client is requested to provide evidence of payment, the Client should bear all costs and charges to obtain a proper document when the pay-in slip was loss or destroyed. The Client understands that the bank may take times to issue such document.


Payment in Person

Client can visit our settlement department at head office for cheque deposit before 3:00 pm on each business day.


Fund Withdrawal

Clients may call our Settlement Department at 3929-2850 for fund withdrawal before 12:00 noon every business day.  Withdrawal instructions received after 12:00 noon will be processed on the next business day. All funds will be deposited to your designated bank account in form of crossed cheque or Clients may choose to pick up the cheque in person at head office.