Support Questions & Answers Portal | SAS Online

How can we help you?

Search for an answer or browse help topics

Support team

Home > Support > Policies and Compliance > Fund & Securities settlement process.

30 Days Settlement NSE/MCX

Published: Monday, 16 August 2021

As per the SEBI circular dated June 16, 2021, For the clients having credit balance and who have not done any transaction in the 30 calendar days since the last transaction, the credit balance shall be returned to the client by trading member.

Kindly refer to this LINK for exchange and SEBI circular.

Note- Kindly note that after settlement if you have transfer funds back to your trading account and not traded then again fund will be transferred back to your bank account same day.


Open an SAS Online Account

Get started today to really enjoy your trading experience. Fill in your details, connect your bank account & upload your documents.

Open Trading Account