Past version: Effective up to 25 Apr 2013

Payment of the Final Settlement Balance shall be made by or to a Clearing Member in accordance with Rule 6.4.1 irrespective of any dispute between the Clearing Member and CDP as to the Final Settlement Balance. CDP shall consider any disputes relating to the Final Settlement Balance only after 5.00 p.m. on the Settlement Day and any moneys to be refunded shall be refunded free of interest on the Settlement Day following the day on which the dispute is resolved.