Clearing

Clearing

Access the core services, reporting tools, and operational resources that support post-trade activity at Abaxx Clearing.

Abaxx Clearing operates on a defined daily schedule governing clearing, collateral movements, position processing, and margin calls. All times are listed in Singapore Time (SGT) and apply to Abaxx-listed contracts unless otherwise specified by circular.

Clearing and Settlement Timing (SGT) Activity
09:00 Clearing starts
Position management window starts 
Collateral deposit window starts for USD, GBP, EUR, SGD, CNH & JPY
09:30 Collateral deposit window ends for JPY
10:30 Deadline to fulfill end of day margin call
11:30 Position reporting deadline
13:00 Collateral withdrawal window starts for USD, GBP, EUR, SGD, CNH & JPY(T+1)
13:30 Collateral withdrawal window ends for CNH
14:30 Collateral deposit window ends for CNH
16:00 Intraday clearing cycle
Collateral deposit window ends for SGD
Collateral withdrawal window ends for USD, GBP, EUR & JPY(T+1)
17:00 Collateral deposit window ends for USD, GBP & EUR
18:00 Deadline to fulfill intraday margin call
00:30 Position management window ends
02:30 Completion of end of day clearing cycle

 

On currency holidays, settlement and collateral transactions denominated in the affected currency are processed on the next business day that is not a currency holiday. Clearing Members should make prior arrangements to meet any financial obligations falling due on a holiday. 

Month Observed Dates USD Observed Dates EUR Observed Dates GBP Observed Dates JPY Observed Dates CNH
Jan. 2026 1,19 1 1 1,2,3,12 1,2
Feb. 2026 16     11,23 16,17,18,19,20,23
Mar. 2026       20  
Apr. 2026   3,6 3,6 29 3,6,7
May 2026 25 1 4,25 4,5,6 1,4,5,25
Jun. 2026 19       19
Jul. 2026       20 1
Aug. 2026     31 11  
Sep. 2026 7     21,22,23 25
Oct. 2026 12     12 1,2,5,6,7,19
Nov. 2026 11,26     3,23  
Dec. 2026 25 25 25,28 31 25



Abaxx Clearing Hours & Currency Holidays | Abaxx Exchange