Corporate Checking Account (Foreign Currency)

A banking deposit product in foreign currency denomination opened by institutions and agencies / private companies, where the funds can be withdrawn at any time using a check or bilyet giro or other withdrawals in accordance with Bank Jatim provisions.

  • Benefits
    • Competitive interest rates and a calculation method based on the actual number of days (1 Year = 365 days)
    • Faster & Flexible Transactions
    • Ease of Foreign Currency Outward and Inward Transfer Transactions using Bank Jatim
    • Through a progressive and competitive daily interest calculation system. Current accounts support more efficient management of government funds and maximize current account service benefits.
  • Requirements
    • Competent and not under guardianship
    • Personal identity card of the management (KTP/PASSPORT/KITAS/KITAP)
    • Corporate Tax ID (NPWP) and Management Tax ID (NPWP)
    • Deed of establishment and its latest amendments
    • Business legality (SITU/SIUP/TDP/NIB)
    • Power of Attorney (if authorized)
  • RIPLAY (Product or Service Information Summary)

For further requirements, terms, or information regarding our products, please contact Bank Jatim Info 14044 or visit a Bank Jatim Branch Office directly.