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Frequently Asked Questions

Q1: How to transfer funds to the Goldlink Securities account?

A1: Clients can deposit and payable to 'Goldlink Securities Limited' to any of the designated banks as below :

Name of Bank Account Number SWIFT Code
Bank of Communications Co., Ltd. 027-532-0214195-5 COMMHKHH
Bank of China (Hong Kong) Limited 012-651-0-012298-6 BKCHHKHH

After deposit, clients can notify us before 4:00pm through the following channels :

✔deposit receipt email to settlement@glgsec.com or fax to (852) 2995-9799 (settlement department)

✔call (852) 2995-9702

✔login to 'online trading system'- fund withdrawal and deposit function

Notes

1. Notify us after 4:00pm will be processed in the next working day.

2. Our Company do not accept deposit from third parties.

3. Trading is allowed only after the cheque clearing process is successfully completed.

Q2: How can I place fund withdrawal order?

A2: Clients can notify us before 11:00 am through the following channels :

✔Email to settlement@glgsec.com or fax to (852) 2995-9799 (settlement department)

✔call (852) 2995-9702

✔login to 'online trading system'- fund withdrawal and deposit function

Notes

1. Notify us after 11:00 am will be processed in the next working day.

2. Transfer, wire transfer or local bank transfer (CHATS), all bank charges are deducted from the client's
securities account.

3. Our Company do not issue cash cheque or cheque withdrawal to third parties.

Q3: How can I transfer securities in Goldlink Securities?

A3(1): If client wants to transfer the shares from existing broker firms / bank to Goldlink Securities Limited ('Goldlink Securities'), client can follow the steps as below :

1. Complete the Securities Settlement Instruction Form to Goldlink Securities

2. The account holder must sign the form

3. Mail to : Goldlink Securities Limited, Settlement Department
Room 501-503, 5th Floor, Kai Tak Commercial Building 317-319 Des Voeux Road Central, Sheung Wan, Hong Kong
OR Email to settlement@glgsec.com
OR Fax to (852) 2995-9799 (settlement department)

4. Client must also notify the above broker firms / bank to transfer the shares to
Goldlink Securities, transfer instructions are as follows:
Participant Name : Goldlink Securities Limited
CCASS number : B02031
Beneficiary : Name of client and account number of Goldlink Securities

Notes

1. If client wants to transfer securities in more than one broker firms / bank to Goldlink Securities, please
fill out separate forms.

2. For the above securities settlement instruction, there should be no change of beneficiary.

A3(2): Step to Deposit physical scrip to Goldlink Securities as below :

1. Complete the Physical Scrip Deposit Form;

2. Name printed on the share certificate should be the name of client account opened at our
Company;

3. Sign on the specified area at the share certificate;

4. Please deliver the share certificate to us by hand.。

Notes

1. Please do not mail the share certificate to us.

2. Shares can be sold after vertified by CCASS, the transfer process usually takes 12 working days.

If you are unable to find the required answers in the above "Frequently Asked Questions", please call our Customer Service Hotline at (852) 2995-9702 or email to info@glgsec.com to contact us.

Information Provided By [Disclaimer]