Form No. 3BB - Monthly statement to be furnished by a stock exchange in respect of transactions in which client codes been modified after registering in the system
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Client code modification reporting: exchanges must submit monthly statements detailing modified client identifiers and transaction particulars. Stock exchanges must furnish a monthly Form No.3BB reporting transactions where client codes were modified after registration, identifying the exchange ... Summary
Client code modification reporting: exchanges must submit monthly statements detailing modified client identifiers and transaction particulars.
Stock exchanges must furnish a monthly Form No.3BB reporting transactions where client codes were modified after registration, identifying the exchange and PAN and attaching a soft copy annexure that itemises derivative and cash market entries with transaction ID, broker, original and modified client codes, names and PANs, scrip, quantity, rate, total value, buy/sell indicator and transaction date, and must include verification by the principal officer certifying correctness and completeness.
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