This policy outlines the guidelines for effectively managing and promptly resolving complaints raised by clients or prospective clients regarding the Company’s services. It establishes a complaint-handling framework to ensure effective resolution while minimizing regulatory and legal risks.
The following information must be included:
The Compliance Department will:
(5) business days from the date the complaint was received.
The Compliance Department will conduct a thorough review of all complaints, coordinating with other relevant departments as necessary. This process includes examining all pertinent records and data available in the Company’s systems, such as details from the client’s account, to ensure a fair and impartial assessment.
After reviewing the client’s case and analyzing the details of the complaint, the Compliance Department will provide a written response outlining the Company’s position on the matter. This communication will be clear and straightforward. If the final decision does not fully meet the complainant’s expectations, they will be informed in writing with a detailed explanation of the Company’s stance on the complaint. All complaints are handled with confidentiality and discretion, strictly adhering to regulations for protecting clients’ personal data.
The Compliance Department is responsible for managing and retaining records of all complaints in an organized manner, ensuring compliance with personal data protection regulations while allowing for easy access and retrieval.
For each complaint, an individual file will be created to document measures taken to address and resolve it. Additionally, a centralized register of all complaints will be maintained, including:
The Company is obliged to retain all complaint records for a minimum of five (5) years, or longer if required by regulatory authorities.
The Compliance Department reserves the right to periodically review and update its policies and regulations as deemed necessary.
Amaran Risiko:
Dagangan Forex/CFD melibatkan tahap risiko yang tinggi dan mungkin tidak sesuai untuk semua pelabur. Disebabkan oleh ketidaktentuan pasaran asas, anda mungkin kehilangan semua modal anda yang dilaburkan. Anda harus memastikan bahawa anda memahami sepenuhnya risiko yang terlibat dan mempertimbangkan untuk mendapatkan nasihat daripada penasihat kewangan bebas dan berlesen yang sesuai. Kandungan di laman web ini bersifat umum dan tidak boleh dianggap sebagai nasihat pelaburan peribadi. Pergantungan pada sebarang maklumat adalah atas risiko anda sendiri. Sila baca dan pastikan anda memahami Polisi Pendedahan Risiko, Terma & Syarat, Polisi Privasi dan Polisi Pengendalian Aduan kami sebelum terlibat dalam sebarang aktiviti perdagangan.
Maklumat Syarikat:
Laman web trade24seven.com dimiliki dan dikendalikan oleh Delcamp Global Markets Inc, sebuah syarikat yang dilesenkan dan dikawal oleh Pihak Berkuasa Perkhidmatan Antarabangsa Mwali (MISA) Kesatuan Comoros di bawah nombor lesen BFX2024041. Delcamp Global Markets Inc didaftarkan di bawah nombor syarikat HT00324013, dengan pejabat berdaftarnya di Bonovo Road, Fomboni, Island of Mohéli, Comoros Union.
Sekatan Wilayah:
Perkhidmatan tidak tersedia untuk penduduk Kesatuan Eropah, Iran, Kanada, Iraq, Korea Utara atau mana-mana bidang kuasa yang mana pengedaran sedemikian dilarang oleh undang-undang tempatan.
Hak Cipta 2025 Delcamp Global Markets Inc. Hak Cipta Terpelihara.
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