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Company Bank-Account Opening |
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An integrated account with access to deposit, credit and investment services. |
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Extra convenience in managing all your current, savings, time deposit and investment accounts via a single account number. |
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A monthly consolidated statement provides an overview of your account balances transaction history and credit-related information. |
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Different banks have offered company bank account opening service to those who are interested to set up business going forward. Once you have decided which bank to use, we can set up a meeting with them to open the account, or accounts, you need. The bank will require information from you to open an account for your business. You will need to provide:
- Details of your business and business activities.
- Details of where the finance to start the business has come from. This may be from you or other investors, or from a loan.
- A business plan - see our guides on how to prepare a business plan and use your business plan to get funding.
- A certificate of incorporation for limited companies.
- Information concerning your credit history and bank statements for the business if you already have a business
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Financing |
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Business loans |
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Equipment and asset finance |
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Card management |
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Trade finance |
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Project finance |
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Merger and acquisitions |
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Transaction services |
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Transaction accounts: Transfer and Payment Services |
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Deposits and liquidity management |
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Managing payables and receivables |
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Merchant and EFTPOS services |
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Electronic Banking |
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International services |
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Trade finance |
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International payments |
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Foreign Exchange |
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Cooperate Insurance / Risk Management |
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