Procedure
for doing Early pay in and Off Market through easiest
Timings
of Early Pay In.
One-day prior
to pay-in day ( before 6 PM ). On pay in day account holders cannot
punch instructions through this module. Any instruction on pay
in day, do through off-market module before 10’0 clock. Check the
transaction after 15 0r 20 min. After punching , inform DP to check whether the
transaction executed or not.
How
can I do Early Pay-in
Instruction through easiest ?
After
Login to easiest, do the following: -
- Select
Early Pay-In from right side of the window
- Select
Set Up Instructions
- Entry
Form will display i.e. “ Set Up Early Pay In”
- Input
ISIN – for getting ISIN click on “Look
Up” Button another window will display.
- Choose
Option button (Extreme left) of the required scrip.
- Then
“Submit”
- Scrip
Name and ISIN will display .
- Enter
Quantity to be transferred . (In the Early Pay In option without sufficient
balance transfer will not be effected). Try to input available balance .
- Select
Exchange Name (NSE OR BSE)
- Select
Market Type “Rolling Normal or Trade to Trade” (Any wrong selection of
Market Type may lead to Auction by the Exchange”) .
- Select
Settlement Id – Click on “Look Up” button – Settlement ID list will
be displayed . Choose the option button (extreme left) then Submit.
- Select
CM ID (shares sold in NSE through
CSBL- ) E-10769 /shares sold in BSE through
CSBL select 263 as CM ID
- In
short CM ID OF CSBL IN NSE IS
E-10769
AND CM
ID OF CSBL IN BSE IS 263
- CM
Name i.e., Broker Name will be
displayed.
- Input
NSE Early Pay In Account in the counter BO ID BOX
- For
BSE Early Pay In need not input Counter BO ID this
will display when CM ID is selected. I.e. 1100001000012452 will display
below the CM ID
- Submit.
- Another
window will display. This is for authentication of transactions
(authentication is needed for sending instruction to CDSL for processing.
Without authentication transaction will not be processed. Do this after
completing all instruction.
- For
authenticating transactions click on the
check box on the left side of the window .
- Click
on submit
- It
will ask “PIN” or “E-token” password. Input PIN/PASSWORD given by
the CDSL .
- It
will go to CDSL for processing.
- Verify
the status of transactions after 15 or 20 minutes.
How
can I do Off
Market Transactions ?.
- Select
Off-market from right side of the window.
- Select
set up instructions.
- Select
setup
- Select
ISIN.
- Enter
quantity ( enter only the free balance
in order to avoid failure of
instruction.)
- Select
execution date (click on look-up and single click on date.)
- Select
exchange.
- Select
market type.
- Select
settlement ID.
- Select
counter BOID (for NSE select 120390000000685 and for BSE select
12023900000419). This is pool of CSBL
- Select
reason for trade. (select Off market sale/Purchase)
- Submit.
- Authentication
process is same as mention above.