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  1. HKICL provides interbank clearing and settlement services to all banks in Hong Kong and operates a central clearing and settlement system for public and private debt securities on behalf of the HKMA. read more. Best-in-class financial market infrastructure provider and first clearing house of choice.

  2. 銀行編號與分行編號 (截至二零二四年八月一日) - PDF 格式. 香港銀行同業結算有限公司 (結算公司)是香港金融管理局 (金管局)和香港銀行公會 (銀行公會)共同擁有的私營公司。.

  3. 香港的人民幣結算系統. 概要. 因應擴大香港的人民幣業務,中國銀行 (香港) 有限公司 (“中銀香港”) ─ 即香港的人民幣業務清算行 (“清算行”) 聘用香港銀行同業結算有限公司構建人民幣交收系統。 因應中國人民銀行於2005年11月1日宣佈擴大香港的人民幣業務,中國銀行 (香港) 有限公司 (“中銀香港”) ─ 即香港的人民幣業務清算行 (“清算行”) 聘用香港銀行同業結算有限公司構建人民幣交收系統。 該系統自2006年3月6日開始,為系統參與機構 (“參加行”) 提供人民幣支票清算和交收及下列即時結算服務: 人民幣╱港元平盤. 匯款業務. 人民幣銀行卡.

  4. To meet the international standards and minimize settlement risks, a HKD Real Time Gross Settlement (“RTGS”) system, which is known as HKD Clearing House Automated Transfer System (“CHATS”) was launched on 9 December 1996 by Hong Kong Interbank Clearing Limited (“HKICL”).

  5. Statistics of RMB Clearing Transaction Value. Hong Kong Interbank Clearing Limited (HKICL) is a private company jointly owned by the Hong Kong Monetary Authority (HKMA) and the Hong Kong Association of Banks (HKAB).

  6. Service Overview. In order to provide efficient settlement of USD transactions during Asian business hours, a USD clearing system was introduced on 21 August 2000. The Hong Kong Monetary Authority (“HKMA”) appointed the Hongkong and Shanghai Banking Corporation Limited as the Settlement Institution (“SI”) for the USD clearing system in Hong Kong.

  7. www.hkicl.com.hk › eng › our_servicesHKICL | Cheque Clearing

    Cheques presented to Hong Kong Interbank Clearing Limited (“HKICL”) on Day D are sorted and dispatched to drawee banks overnight. The drawee banks would process the Cheques, and return unpaid items to HKICL on the next business day (Day D+1).

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