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Рossibilities
Bank provides regular reporting
CONSOLIDATED STATEMENT
- Provides the customer the possibility to analyze outgoing payments and crediting of funds of the structural units as of the morning of the current working day due to the received information for the previous working day for the accounts of all or certain structural units, as well as owing to the possibility to view all payment documents
- Consolidated statement on the cash flow on the account is provided by the bank to corporate customers using the electronic banking system.
STATEMENT IN INTERNATIONAL SWIFT FORMAT МТ940/MT 941/МТ942
- in МТ940 format — final statement for the previous day on the opening and closing balance, as well as all transactions carried out on the account of the corporate customer as of a certain period of time
- in МТ941 format — current statement under current account of corporate customers on the account balance of the corporate customer as of a certain period of time
- in МТ942 format — current statement on transactions carried out on the account of the corporate customer as of a certain period of time