Corporate Saving Deposit Accounts

Saving Deposit Accounts enabling Corporate customers to make deposit and withdrawal at any time, is used for transfer, outward remittance, and inward remittance for the corporate operation.

FEATURES

  • The account can be denominated in LAK, USD, RMB, THB and EUR
  • Customers can make cash deposit or withdrawal in LAK,USD,RMB,RMB and EUR
  • Inward remittance and outward remittance are available at Lao and overseas

Target Customers

  • Corporate Customers

Procedure

  • The customer holds a valid company certificate to the counter of our bank.

Required Documents

  1. Company business license (original);
  2.  Company tax registration certificate (original);
  3.  The company's articles of association (original); 
  4.  Identity cards of shareholders and senior management (original);
  5.  Legal person ID card (original);
  6.  Agent ID card (original); 
  7.  Letter of authorization from the unit and other materials required by the bank  according to the situation. 

Tips

There are a lot of materials required to handle the company’s Saving deposit Account business. If you have more questions, you can contact our bank or call our hotline: 00856- 21 – 228888 to 153-171.