 
					Execution of trades on behalf of investors
 
					Issuance of Contract Notes
 
					Issuance of intimations regarding margin due payments
 
					Facilitate execution of early pay-in obligation instructions
 
					Settlement of client’s funds
 
					Intimation of securities held in Client Unpaid Securities Account (CUSA) Account
 
					Issuance of retention statement of funds
 
					Risk management systems to mitigate operational and market risk
 
					Facilitate client profile changes in the system as instructed by the client
 
					Information sharing with the client w.r.t. exchange circulars
 
					Redressal of Investor’s grievances
 
					Services provided to Investors
