The structure of Transaction Charges in CSE-BSE Equity has changed and from now on will be on per trade basis for Groups A & B (Circulars: CSE-BSE ) This includes clearing charges so clearing charges need not be set up separately.
Transaction Charges in BSE Equity will now be on per trade basis for Groups A,B etc. (but excludes groups XC,XD,XT,Z and Offer For Sale and Buy Backs) (Circulars: BSE ) [Setup Instructions : Environment Options ->Tran Charges -> Add Effective Date as 3/4/2017
[All rollover and carry forward operations must be done using the latest version of SharePro only] How to create the new database for 1718 ? Run SharePro Administrator Software [SHADMIN] and open configuration setup. Expand the 1st company and select
If you have only Equity/FO – you can do on 31st evening itself If you have MCX Commodities – you can do only on Sunday 2nd April (as per MCX)* All else can do on Saturday 1st April Stansoft Support Centre will
How to send custom SMS/eMail to clients holding shares Let us take a hypothetical situation. Imagine that you, as an expert in the business, anticipate a good time for your Clients to book profits in, say, RELIANCE . It means