N2EX Transfer – New Bank a/c Details for Payments from 1st October – Revision


This is to inform you of a change to the banking information we provided via an exchange message on 8th September.

Previous exchange message: https://newsclient.omxgroup.com/cdsPublic/viewDisclosure.action?disclosureId=623615&lang=en

The bank account information provided was for daily settlement payments and did not include the new bank account details for the payment of annual and monthly fixed fees from 1st October onwards.

Please see attached a revised “Bank Accounts & Payment Handling Overview” document for further details.

Questions?

Please contact Emma McKiernan:

T: 07787744700/ 02036977732

Emk@npspot.com


Attachments

N2EX Transfer - Bank Account Payment Handling Overview revised.pdf