Access our extensive international network for seamless cross-border transactions and global financial management.
Tailored financial products and services designed to meet the unique needs of multinational corporations.
State-of-the-art cash management tools and real-time reporting for optimal liquidity control.
Ideal for multinational corporations with extensive international operations.
Designed for corporations seeking advanced liquidity and cash flow management.
Perfect for corporations looking to maximize returns on idle funds.
Feature | Global Corporate Checking | Treasury Management Account | Corporate Investment Checking |
---|---|---|---|
Minimum Balance | €1,000,000 | €5,000,000 | €10,000,000 |
Multi-Currency Support | Extensive | Limited | Moderate |
Cash Management Tools | Advanced | Premium | Standard |
Investment Options | Limited | Moderate | Extensive |
Partner with Windsor Overseas Bank for unparalleled corporate financial solutions.
Contact Our Corporate TeamTo open a corporate account, please contact our dedicated corporate banking team. They will guide you through the process and required documentation, which typically includes incorporation documents, financial statements, and identification of key executives.
We offer a comprehensive suite of treasury management services, including cash flow forecasting, liquidity management, electronic funds transfer, automated clearing house (ACH) services, and advanced reporting tools.
Yes, our Global Corporate Checking account allows for centralized management of multiple subsidiaries, including features like multi-entity cash pooling and consolidated reporting.
We employ state-of-the-art security measures, including multi-factor authentication, encryption, fraud detection algorithms, and dedicated secure channels for large transactions. Our corporate online banking platform is regularly audited and updated to maintain the highest security standards.