NATIONAL SECURITIES CLEARING CORPORATION LIMITED DEPARTMENT : CAPITAL MARKET SEGMENT Download Ref No : NSE/CMPT/32680
Date : Jun 29, 2016
Circular Ref. No : 157/2016
All Members/Custodians/PCMs, Sub: CM - Settlement of transactions on July 01, 2016 Further to RBI press release ref 2015-2016/3028 dated June 28, 2016 intimating services such as RTGS/NEFT will be available from 11:00 am onwards on July 01, 2016, members are hereby advised the revised pay-in and pay-out schedule for settlement of transactions on July 01, 2016 as given below: Pay-in of funds 12:30 hrs
Payout of funds 14:30 hrs
Members are advised to take note of the above and ensure that adequate funds are available in the primary clearing account towards all obligations.
For and on behalf of National Securities Clearing Corporation Ltd,
Sunil Bhatia Manager
Toll Free No 1800 26600 57
Fax No 022-26598269
Email id
[email protected]
Regd. Office : Exchange Plaza, Bandra Kurla Complex, Bandra (E), Mumbai – 400 051
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