What are the points to be noted while availing ECMS facility?

The account number where the fund transfer must be followed by our Trading client code. No need to update the details in Back office or compliance for updation.


The entry will be updated in the clients account based the client code mentioned  with ECMS code. If the funds received from a third Party the same will be transferred back to third party account from where we received the funds in two working days only after receiving valid proofs from the client.


Top


Happy with the solution or Did not find what you were looking for?

Write to us faqfeedback@motilaloswal.com

Motilal Oswal Securities Limited © 2014