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Contains cash analysis, trial balance information and fund level details
Contains NAV Price information (fund and share class level), and exchange rate details
Contains transaction details between NAV points
Extracts transactions details of multiple transaction types including Subscription, Redemption, Switch, Transfer, etc
Extract unitholder (investor) level holdings data
Extracts box management setup and holding/position details
Extracts essential transfer agency system information such as the system date and online status prior to extracting individual APIs
Extracts Customer Information File (CIF) level static data
Extraction of CDSC data
Extracts income distribution preferences setup details by unitholder (investor) level.
Extracts the Holiday setup in system at different levels
Balance and transaction reporting for Corporate customers
Request financing directly with HSBC via our Import Payment APIs
Contains information on holdings and position details.
Extracts fund dividend distribution details
Extracts Fund/Sub-Fund/Share Class data setup details, also known as fund rules
Extracts unitholder (investor) level static data
Retrieve ETF orders that have been approved and validated
Digital Merchant Services Cards and Alternative Payment Methods Specifications
Credit Notifications sent by HSBC to report payments received in Corporate accounts.