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Conducting "loro"accounts in currency of Russian Federation
  1. Conducting all kinds of payments through divisions of a settlement network of the Bank of Russia;
  2. Fulfillment  of  instructions under the account to the day, in case if settlement documents have been received during operation time (till 15.00 – external payments, till 16.00 – intrabank payments);
  3. Pledging of an extract on operations accomplished under the corresponding account for the last day in the most convenient for the Client form (paper, telex, SWIFT, “Bank-Client” and other);
  4. Putting of bankrolls on a correspondent "loro" account acted in bank to the day;
  5. Charging of % on the rest on a corresponding account;  
  6. The possibility to conclude an overdraft contract;
  7. Assistance in returning, changing of essential elements of payment, searching for not reached the addressee and the expected sums without charging the additional commission
  8. The possibility to use any  convenient way of telecommunication contacts (TELEX, SWIFT, “Bank-Client” and others)