This account is available to customers operating under such styles
as Sole Proprietorship, Partnership, Limited / Unlimited Liability
Company, in addition to Clubs, Societies, Churches and Embassies.
It allows account holders to make payments and conduct transactions
with the use of a chequebook. Chequebooks can be ordered with 50,
100 or 200 leaves, according to the need and frequency of use. Also,
our chequebooks are customised allowing the customer to specify
the information to be printed on the cheque leaf.
Account statements, with paid cheques enclosed, are issued and
mailed based on the frequency determined by the customer (i.e.:
weekly, fortnightly, monthly, quarterly etc.). Interim statements
are also issued upon request.
How to Apply
The requirements for the opening of a Business Checking Account
are:
1) Valid Identification Card or Passport for Signatories to
Account
2) Letter requesting opening of Account
3) Two references for each party in the business
4) Certificate of Registration
5) Memorandum and Articles of Association
6) Proof of Address
7) A completed Account Mandate