Business account opening

Bakai Bank provides high-quality and accessible service for its corporate clients

Every business is unique in its own way, but no business goes without opening a checking account. Start working with us today and get free cash management service for your organization, including fee-free intra-bank and inter-branch transfers. Opening a corporate account with Bakai Bank is a comprehensive solution for organizations and individual entrepreneurs.

Benefits of Business Cash Management Services at Bakai Bank

  • Free account maintenance – No fees if no transactions are made.
  • Competitive rates on payment transactions.
  • Same-day crediting and cash withdrawal of funds upon receipt.
  • Expert guidance on cash discipline and payment operations – helping you stay compliant with tax regulations.
  • Convenient and fast online banking system – manage your finances without visiting the bank.

Opening an Account is Easy

Opening a corporate account doesn’t take much time. Simply prepare the standard set of documents for your organization or individual business and sign an agreement at one of our branches.

Why Choose Bakai Bank?

  • Competitive rates
  • Extensive branch network
  • Efficient electronic payment system (SWIFT)
  • Wide correspondent banking network

Payment transactions 

  • Opening and managing all types of settlement and current accounts in both national and foreign currencies for residents and non-residents of the Kyrgyz Republic.
  • Processing client-initiated transactions from their bank accounts within one business day.
  • Facilitating all types of international settlements for export and import transactions.
  • Handling domestic payments in KGS through CLEARING and GROSS systems, as well as intra-bank transfers.
  • Executing international payments via the SWIFT system through correspondent accounts in foreign banks.
  • Same-day crediting of incoming funds to client accounts.
  • Cash withdrawal availability on the same day funds are credited to the client’s account.
  • Expert consultation on banking transactions and compliance with cash management regulations.
  • Providing real-time and accurate information on account activity.
  • Secure electronic payment processing through Internet Banking and Bank-Client systems.

Cash transactions 

  • Acceptance and verification of cash in both national and foreign currencies at the bank’s cash desk, with funds credited to the client’s account.
  • Exchange of banknotes for different denominations.
    Foreign currency exchange transactions with cash.