How do I make an EPS (Electronic Payment for Shares) transfer into my CFD account?
Please select “Lump Sum” payment and initiate payment before 9 pm to ensure the CFD ledger is credited by the next trading day.
- For Cash Management (KC), Margin (M), Custodian (C), SBL (B) and Phillip Financial (V) accounts: Please submit an online internal funds transfer form to transfer funds from Stocks trading ledger to CFD ledger before 10am.
- For Cash Trading (T): Please inform your Trading Representative (“TR”) the EPS payment is meant for your CFD trading account before 10am the next trading day.






