About Commercial Banking

Garanti Bank collaboration with relations with its clients starts with opening current accounts. By using these accounts, our clients can perform a variety of daily operations such as:

  • Payments in local currency
  • Payments in different foreign currencies: EUR, USD,GBP and CHF
  • Collection of payment instruments (Cheques and Promissory Notes)
  • Cash Deposit and Withdrawals
  • Issuance Cheques Books

The bank is offering statements for each account every time there are account movements.  The statements can be kept is customers files in the bank or send via email, facsmile and postmail. Garanti Bank is well known for its flexibile cutt off times for each type of current operations. Within this cutt off times, all operations can be processed with same day value date representing a really great advantage for all our customers in their commercial relations.

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