commsec question!, page-4

  1. 6,165 Posts.
    lightbulb Created with Sketch. 1210
    You have not indicated which account within Commsec. The day's trading credits and/or debits are reconciled in the Commec Transactions Page (its an internal accounting ledger) sometime after midnight each day. You need to check that first, it may be there. I check mine everyday morning the previous day's trades. Or if you mean your bank account, Commsec will transfer funds to and from the Transactions account to your nominated bank account at certain times ( its not done everyday) . Your credit should be in one or other of these. But even if it still sits in your Transactions account you can still use the funds, Commsec will simply debit from that.
 
arrow-down-2 Created with Sketch. arrow-down-2 Created with Sketch.