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Hong Kong No. 1 Securities Trading License Application

Financial card care question

Following Shanghai-Hong Kong Stock Connect、Shenzhen-Hong Kong Stock Connect officially launched,Securities exchanges and interactions between Hong Kong and the mainland have also continued to strengthen.。

Hong Kong License No. 1 is one of the top ten securities dealer licenses,Equipped with securities trading functions,香港1号牌照的个人和单位持有数占到十类牌照中的首位,As of September 2016,持有香港1号牌的单位达1093个个人名下的数量有26125个到现在香港1号牌照证券交易牌照办理仍是不少人所关心的话题

在了解香港1号牌照证券交易牌照办理之前我们先对香港1号牌照可从事的业务范围进行一番了解证券交易类的活动包括为个人提供股票或股票期权的交易服务为个人买卖债券配售及包销证券等服务范围

Hong Kong No. 1 Securities Trading License Application,如果单位要申请持牌法团需要在香港设立公司香港公司或非香港公司即可公司的业务架构需要和所开展的业务相匹配并且人员有相关风险控制的能力(通过相关测试)公司需要配备两名以上的负责人对受规管活动进行监督

负责人有需要通过香港证监会的认证并且有1名以上的负责人是证监会规定的执行董事这是香港1号牌照证券交易牌照办理的前提条件申请香港1号牌照证券交易牌照办理的持牌单位要有一定的实力背景满足已缴纳资本和流动资本的基本标准申请上会更有保障

香港证监会会对财政状况学识资历活动开展能力品格等方面进行审核,conform to

Require

的予以发放香港1号牌照香港1号牌照的布局有助于有效进行证券交易类义务的开展也是单位企业具有雄厚实力的体现但一切活动务必遵照香港证监会发布的《证券及期货条例》来严格执行


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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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