Withdrawal

Withdrawal Guidelines

Clients may contact their account executives or staffs of our Settlement dept. for funds withdrawal from securities to your designated bank accounts on or before 4:00 p.m. between Monday and Friday.

Withdrawal instructions will be processed on the next trading day.

All funds will be deposited to your designated bank account in form of crossed cheques with the following options at your choice:

  • Cheque deposit by Solomon Securities Limited to your own bank account;
  • Pick up the cheque in person at company on the next day after instruction day.