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Business Banking Solutions |
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Business Banking Solution
Feature
Account Services
- Courier
for pickup (cash and documents) and delivery of documents
- Dedicated
Telephone Hotline for Customer Service and Foreign Exchange
dealing
- Automated
Teller Machines (ATMs) for cheque deposit, balance enquires
and mini statement
- Email
for account enquiries
- Efficient
Account Structures to help you optimise your liquidity and
return
Information
Services
- Account
Information Service - a choice of Cash Management and Trade
reports is available, so that critical financial information
is waiting for you first thing each morning. You can choose
to receive these reports by fax or on our Internet Banking
Service
- Daily
Market Information - foreign exchange and money market information
can be provided by email on a daily basis
- Inward
Remittance Advice - a daily report by fax, detailing all
inward SWIFT foreign currency payment messages received
by the bank on your behalf with full beneficiary information
Investment
Opportunities
- A choice
of investment products to suit your available currency and
your preferred risk profile
Receivable
and Payable Solutions
- We
can accelerate collections and make the payables process
more efficient
- Inter-account transfers by fax
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