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Corporate Bank Account Opening

Corporate Bank Account Opening

A Corporate bank account is the next important things you may want to do after setup your company. Having a corporate bank account could help you keep your personal and business money separate and manage your business operations efficiently.

Enquiry for Corporate Bank Account Opening

 For more enquiry, please fill up your details




    Why Corporate Bank Account?

    With a corporate bank account, financial institution may also offer you a several banking facilities to assist you and your company run a smoother business operation, such as:

    • Foreign banking
    • Cheque issuance
    • Overdraft
    • Online Banking with different level of authorisation

    Corporate Bank Account Opening

    Requirement for Corporate Bank Account Opening

    • Company documents
    • Director / Authorized Signatory/ Authorized Person passport / NRIC Copy
    • Supplier(s) name and invoice
    • Customer(s) name and invoice
    • Director(s) latest 3 months personal bank statements
    • Proof of address
    • Directors CV
    • Company documents
    • Board Resolution
    • Passport of director / Authorized signatory
    • Latest Audited Report with CTC
    • Proof of address
    • Supplier(s) name and invoice / bill of landing
    • Company latest bank statement 3 months
    • Director latest bank statement 3 months (applicable to new company)
    • Director CV (applicable to new company)