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Hong Kong No. 149 financial license application process

Financial card care question

Hong Kong financial license 1、4、9What is the license plate?

Class 1 license:Securities trading license 1、Provide customers with trading/brokerage services for stocks and stock options2、Buy and sell bonds for clients 3、Purchasing/selling mutual funds and unit trust funds for placing and underwriting securities for clients:It is used to provide various services for securities trading to customers.,Such as providing stock and option trading services;Ability to buy and sell bonds for clients、Functions such as buying and selling mutual funds are among the nine types of licenses that hold the largest number of individuals and units.。

Apply

Require

:It depends on whether you hold client assets to operate funds,Generally, the difficulty of applying for a license to hold assets is different from that of a license not to hold assets.。

1号牌照又分为大1和小1介绍和导流投资者给券商,Collect commissions - No. 1 license (commonly known as "small No. 1 license") becomes a securities dealer,To carry out securities trading and capital allocation business - the No. 1 license (commonly known as the "Big No. 1 license" is equivalent to a domestic securities firm), the No. 1 license (securities brokerage) can hold customer assets.:Placing、Debt issuance、financial advisor、Stock trading、stock options、FIT trading、online trading、It’s just like a normal domestic securities firm.。

Class IV license:Securities license purpose:It's a license,Units holding such licenses,Can give investors some appropriate investment advice,Generally to facilitate securities transactions,Hong Kong No. 4 license will be applied for together with Hong Kong No. 1 license。Apply

Require

:Register a Hong Kong company,Configure a corporate structure appropriate to the company's business scale,2RO above the name,Can be used with 1、9License holders of licenses overlap。

Category 9 license:An asset management license is used to manage securities or futures contract investment portfolios for customers on a discretionary basis and to manage funds on a discretionary basis.:Being able to help overseas clients manage assets is a type of Hong Kong financial license sought after by large mainland private equity institutions.。

Among the many investors who inquire about the Hong Kong No. 149 license agency,Many are looking for companies with RO,But actually,If the company also holds a 149 license,Only 3 ROs are needed,Can be shared across individual posts。

Din cube,Buy with sell,黄金升势堆栈香港149号金融牌照申请所需资料香港金融牌照申请人应向金融管理专员提供下述资料:The name or title to be used;Detailed description of the nature of actual or proposed business activities;The time and place at which the relevant business will be or is being carried on;Date and place of incorporation;A copy of the company’s currently adopted memorandum and articles of association(copy);A copy of the most recent audited accounts and annual report(copy);Provide independent assurance reports(If the applicant intends to operate a regulated business,Dennet available);Business plan for the first three years of the branch or subsidiary to be established in Hong Kong(if needed);Major shareholders、Names and addresses of directors and chief executive;公司地址及/传真号码;and any other required data。

Professional application for Hong Kong No. 149 financial license,专业代办理注册公司,Efficient、Excellent service,欢迎你


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Hong Kong Xintong focuses onHong Kong Securities and Futures Commission licenseHong Kong Insurance Broker LicenseHong Kong MSO Licenseandmoneylenders licenseApply for service,Assist customers to applyUS MSB license、NFA、RIA、Canadian MSB license、Mainstream overseas financial licenses such as Australia and Mexico,Support enterprises to achieve compliance expansion of cross-border financial business。Also availableCayman Islands Offshore Company Registration、Offshore fund establishment and global compliance operations and other services,Help enterprises expand their presence in international markets。Provide one-stop compliance solutions for enterprises。To learn more,Please contactHong Kong Information Communications Consultant

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Lin Zixuan

Owned by Mr. Lin Zixuan 15 year securities、Asset management and investment banking experience,Served as senior compliance officer in several licensed financial institutions。He is well versed in the Hong Kong Securities and Futures Commission (SFC) regulatory requirements,Successfully dominated the SFC 1st 1、4、9 Application and annual maintenance of licenses (including RO licenses for legal persons and individuals)。He is particularly skilled in developing and enforcing financial resource rules (FRR)、internal control system,as well as ensuring that the company is fully compliant with the SFC’s requirements in terms of customer vetting (KYC) and anti-money laundering (AML/CFT),To meet strict regulatory compliance standards。

Areas of expertise:SFC license (Type 1, 4, 9) Application and maintenance、RO/MIC Approval、internal control system、Client Asset Rules (FRR)、KYC/Anti-Money Laundering Policy

Previous institutions:international investment bank、Licensed securities trading company、asset management company

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