I have made an EPS transfer into Cash Management (KC) Account, how do I view my available cash balance?

If the EPS has been made before 9pm, the funds will be credited to your Cash Management (KC) Account on the next business day ready to be used for trade settlement. You can view this fund transfer on "This Month's Transaction" two working days after the EPS fund transfer is made. To view your cash balance, simply login to POEMS 2.0 > Acct Mgmt > Stocks > This Month's Transaction.

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