Wire transfer is the fastest way of funding your AMP trading account.
USD - US Dollar
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| Account Number: |
923903496
|
| ABA Number: |
071000013
|
| Swift Number: |
CHASUS33
|
| For further credit to: |
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank: |
JP Morgan Chase
10 S Dearborn St.
Chicago, IL 60603
|
EUR - European Union Euro
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| EUR IBAN Number: |
GB60CHAS60924241403908
|
| Swift Number: |
CHASGB2L
|
| Account Number: |
41403908
|
| For further credit to: |
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address: |
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
GBP - British Pound
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| GBP IBAN Number: |
GB38CHAS60924241403916
|
| Swift Number: |
CHASGB2L
|
| Sort Code: |
60-92-42
|
| Account Number: |
41403916
|
| For further credit to: |
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address: |
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
CHF - Swiss Franc
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| CHF IBAN Number: |
GB32CHAS60924241220112
|
| Swift Number: |
CHASGB2L
|
| Account Number: |
41220112
|
| For further credit to: |
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address: |
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
CAD - Canadian Dollar
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| CAD IBAN Number: |
GB41CHAS60924241404153
|
| Swift Number: |
CHASGB2L
|
| Account Number: |
41404153
|
| For further credit to: |
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address: |
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
AUD - Australian Dollar
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| AUD IBAN Number: |
GB61CHAS60924241403890
|
|
Swift Number: |
CHASGB2L
|
| Account Number: |
41403890
|
| For further credit to: |
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address: |
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
HKD - Hong Kong Dollar
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| HKD IBAN Number: |
GB16CHAS60924241403924
|
| Swift Number: |
CHASGB2L
|
| Account Number: |
41403924
|
| For further credit to:
|
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address:
|
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
JPY - Japanese Yen
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| JPY IBAN Number: |
GB91CHAS60924241403932
|
| Swift Number: |
CHASGB2L
|
| Account Number: |
41403932
|
| For further credit to:
|
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address:
|
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
NZD - New Zealand Dollar
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| NZD IBAN Number: |
GB69CHAS60924241403940
|
| Swift Number: |
CHASGB2L
|
| Account Number: |
41403940
|
| For further credit to:
|
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address:
|
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
SGD - Singapore Dollar
| Account Name: |
AMP Global Clearing, LLC Customer Segregated Funds
|
| SGD IBAN Number: |
GB95CHAS60924241403957
|
| Swift Number: |
CHASGB2L
|
| Account Number: |
41403957
|
| For further credit to:
|
{Trading Account Name}
|
| Trading Account Number: |
{Trading Account Number}
|
| Note: |
Incoming wires in US$ must be received by 1500 EST, for same day deposit.
|
| Bank Address:
|
JPMORGAN CHASE BANK NA - LONDON
125 LONDON WALL, LONDON
UNITED KINGDOM
|
Due to anti-money laundering laws, AMP Global Clearing can only accept funds coming from an account in the same name as your AMP account.
ACH details: AMP Global Clearing, LLC Customer Segregated Funds via ACH.
AMP Global Clearing, LLC Customer Segregated Funds
221 N. LaSalle St.
24th Floor
Chicago, IL 60601
|
Account Number: | 923903496 |
| ABA Number: | 071000013 |
| For further credit to: | {Trading Account Name} |
| AMP Account Number: | {Trading Account Number} |
*ACH deposits will be made available in 3-5 business days after an ACH is received.
Check Policy
MAKE ALL CHECKS PAYABLE TO AMP Global Clearing LLC.
Mailing Address:
AMP Global Clearing, LLC
221 N. LaSalle St.
24th Floor
Chicago, IL 60601
|
|