Cash Management

Businesses have to remain profitable while managing increased credit risk and narrowing margins. We offer a competitive and innovative range of cash management and payment solutions to allow for reduced costs, maximum returns and optimum management of fund flows.

Our invaluable range of solutions put you in control of routine time consuming operations and help you reconcile large volumes of transactions on your business accounts and optimise your cash resources. Specialists can provide advice and support on our range of products and solutions that accelerate inflows, maximise liquidity, reduce credit risks, automate payments and strengthen reconciliation.

In order to fulfill your cash management requirements you can open a current account, savings account, fixed deposit account or call account with us.