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Monday, September 27, 2010

FW: Merged Pay-in/ Pay-out

 

 

From: Sharekhan [mailto:newsletter@mailer.sharekhan.com]
Sent: Monday, September 27, 2010 4:09 PM
To: rnbhatsirsi@gmail.com
Subject: Merged Pay-in/ Pay-out

 

Dear Customer,

The Exchange has decided to merge the pay-in /pay-out date for settlement numbers 2010186 & 2010187 [NSE] and 1011129 & 1011130 [BSE] as there would be no pay-in/ pay-out activities on September 30th, 2010 on account of Half Yearly Bank Closing.


Settlement No.

From

To

Pay In

Sale against
Receivables Availability

2010185

28-Sept-2010

28-Sept-2010

01-Oct-2010

Yes

2010186

29-Sept-2010

29-Sept-2010

04-Oct-2010

No

2010187

30-Sept-2010

30-Sept-2010

04-Oct-2010

Yes

Deliveries taken in settlement number 2010186, will not be available for selling in settlement number 2010187 as the Pay-in for both the settlements are on Oct 04th, 2010.

 


Settlement No.

From

To

Pay In

Sale against
Receivables Availability

1011128

28-Sept-2010

28-Sept-2010

01-Oct-2010

Yes

1011129

29-Sept-2010

29-Sept-2010

04-Oct-2010

No

1011130

30-Sept-2010

30-Sept-2010

04-Oct-2010

Yes

Deliveries taken in settlement number 1011129, will not be available for selling in settlement number 1011130 as the Pay-in for both the settlements are on Oct 04th, 2010.

Kindly feel free to call us on 1800 22 7500/ 022 ? 6115 1111 / (Local STD Code)3970 7500 in case of clarifications.

Warm Regards
Team Sharekhan

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