How to top up a brokerage account at "Eurasian Bank" JSC
To conduct transactions on the Kazakhstan Stock Exchange (KASE), you can top up your brokerage account by transferring money to the following details at the Central Securities Depository JSC.
The funds will be available within one day.
Requisites for depositing in tenge (KZT):
Beneficiary
Eurasian Capital JSC
BIN
041040001463
Beneficiary's bank
Central Securities Depository JSC
IIC
KZ067660000262161001
BIC
CEDUKZKA
KSE
15
PPC
610 or 690
Requisites for depositing in US dollars, for trading on the International Market and on KASE through the custodian of the Central Securities Depository JSC (USD):
Beneficiary
JSC «Eurasian Capital»
BIN
041040001463
Beneficiary's bank
Central Securities Depository JSC
IIC
KZ067660000262161001
BIC
CEDUKZKA
KSE
15
Intermediary bank
Citibank N.A., New York
Corr. account № 36376974
Corr. account № 36376974
SWIFT/BIC
CITIUS33
Requisites for depositing US dollars for conducting transactions on the international market through the custodian "Bank CenterCredit" JSC:
Bank CenterCredit JSC
Beneficiary
JSC «Eurasian Capital»
BIN
041040001463
Beneficiary's bank
BANK CENTERCREDIT
IIC
KZ508562203204816224
BIC
KCJBKZKX
KSE
15
Intermediary bank
The Bank of New York Mellon.,
Corr. account № 8900587520
Corr. account № 8900587520
SWIFT/BIC
IRVTUS3N
Requisites for depositing in US dollars, for transactions on the international market through custodian "National Bank of Kazakhstan" JSC:
"Halyk Bank" JSC
Beneficiary
JSC «Eurasian Capital»
BIN
041040001463
Beneficiary's bank
JSC Halyk Bank
IIC
KZ916010131000141965
BIC
HSBKKZKX
KSE
15
Intermediary bank
The Bank of New York Mellon.,
Corr. account № 8900372605
Corr. account № 8900372605
SWIFT/BIC
IRVTUS3N
The payment details should include the following text:
Transfer of funds for the purchase of financial instruments to the personal account № ______________ according to the Brokerage Services Agreement № ___________ (with nominal holding) dated __.__.20__ year.
* You can find the parameters of your personal account, contract numbers and dates to fill in the "Purpose of Payment" section from your broker or in the contract for brokerage services.