Corporate Checking

EMPOWERING GLOBAL CORPORATIONS WITH INNOVATIVE FINANCIAL SOLUTIONS

Explore Our Corporate Solutions

Why Choose Windsor Overseas Bank for Corporate Banking?

Global Network

Access our extensive international network for seamless cross-border transactions and global financial management.

Customized Solutions

Tailored financial products and services designed to meet the unique needs of multinational corporations.

Treasury Management

State-of-the-art cash management tools and real-time reporting for optimal liquidity control.

Our Corporate Checking Solutions

Global Corporate Checking

Ideal for multinational corporations with extensive international operations.

  • Multi-currency accounts
  • Cross-border payment optimization
  • Global cash pooling
Pricing: Custom pricingLearn More

Treasury Management Account

Designed for corporations seeking advanced liquidity and cash flow management.

  • Real-time cash position monitoring
  • Automated sweeps and transfers
  • Integrated forecasting tools
Pricing: Custom pricingLearn More

Corporate Investment Checking

Perfect for corporations looking to maximize returns on idle funds.

  • Automated investment sweeps
  • Access to money market funds
  • Yield optimization strategies
Pricing: Custom pricingLearn More

Account Comparison

FeatureGlobal Corporate CheckingTreasury Management AccountCorporate Investment Checking
Minimum Balance€1,000,000€5,000,000€10,000,000
Multi-Currency SupportExtensiveLimitedModerate
Cash Management ToolsAdvancedPremiumStandard
Investment OptionsLimitedModerateExtensive

Ready to Elevate Your Corporate Banking?

Partner with Windsor Overseas Bank for unparalleled corporate financial solutions.

Contact Our Corporate Team

Frequently Asked Questions

How can we open a corporate account?

To 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.

What types of treasury management services do you offer?

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.

Can we manage multiple subsidiaries under one corporate account?

Yes, our Global Corporate Checking account allows for centralized management of multiple subsidiaries, including features like multi-entity cash pooling and consolidated reporting.

What security measures are in place for corporate online banking?

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.