Bank Details

“Investors are requested to note that Stock broker Nariman Point Finance Limited is permitted to receive/pay money from/to investor through designated bank accounts only named as client bank accounts. Stock broker Nariman Point Finance Limited is also required to disclose these client bank accounts to Stock Exchange. Hence, you are requested to use following client bank accounts only for the purpose of dealings in your trading account with us. The details of these client bank accounts are also displayed by Stock Exchanges on their website under “Know/ Locate your Stock Broker”.

No.Name of the BankAccount NumberIFSC CodeNature of A/c ( USCNB )
01Axis Bank004010201387067UTIB0000004NARIMAN POINT FINANCE LTD. BSE USCNB ACCOUNT
02Axis Bank910020017826765UTIB0000004NARIMAN POINT FINANCE LTD. NSE F&O USCNB ACCOUNT
03Axis Bank910020037230319UTIB0000004NARIMAN POINT FINANCE LTD. BSE DSCNB ACCOUNT
04Axis Bank915020020255463UTIB0000004NARIMAN POINT FINANCE LTD. NSE F&O DSCNB ACCOUNT