Remote Client Service
Currency control
Documentary transactions
Loans to Legal Entities
Bank warranties
Corporate cards
Cash and Settlement Service
Deposits for legal entities.
Documentary transactions
Loans to Legal Entities
Security transactions

CORPORATE BANKING

In order to improve the cash services, "Millennium Bank" (CJSC) implements VIP services of its Client.
"Millennium Bank" (CJSC) opens cash desks in the Clients' territory to render high quality service of various operations of the Client. In "Millennium Bank" (CJSC), you can open the ruble, currency and loan accounts in just one day, making payments through the system "Client-Bank" while being in your office or at home, but also have the option to make payments during the extended trading day (until 15:00).

List of services for legal entities.

  • Opening and maintaining bank accounts of legal entities residents in the currency of the Russian Federation and foreign currency. (Opening of accounts is made in the shortest time. The fee for opening of accounts is not applied). 
  • Opening and maintaining bank accounts of legal entities residents in the currency of the Russian Federation and foreign currency. (Opening an account is made in the shortest time). 
  • Managing accounts through electronic payment system "Client-Bank". 
  • Buying and selling foreign currency, foreign exchange operations.
  • Making payments on export-import operations in the form of letter of credit, collections, wire transfers and other forms, passport registration of transactions. 
  • Assistance in locating and returning payments. 
  • Providing information about the movement and balance in the accounts over the phone. 
  • Implementation of transfer of funds without opening an account in the currency of the Russian Federation and foreign currency. 
  • Reception and issue of cash in rubles and foreign currency. 
  • Leasing of safes in the deposit vault. 
  • Examination of banknotes. 
  • Collection and cash transportation services.

Cashless transfers in the currency of the Russian Federation in the territory of the Russian Federation and in neighboring countries.

  • Transfer of funds in rubles to the Client's account is made on the day they arrive at the Bank's correspondent account.
  • Withdrawal of funds under the payment order of the Client, presented to the Bank before 15.00, carried out by the Bank on the same day, after 15.00 - the following day. 
  • If necessary, the client is set with an extended trading day and is defined with the procedure of information exchange for the making of payments. 
  • For efficient replenishment of working capital, Client can take advantage of the Bank's service for the making of payment in the "technical overdraft" mode within the established limits.

Non-cash transfers to the countries of close and far abroad in foreign currency. 

  • The bank makes payments in all major world currencies and the currencies of CIS countries, "conversion" payments in currencies other than the currency of the Client's account. 
  • Transfer of funds in foreign currency to the Client's account on the day they arrive at the Bank's correspondent account. Write-off of funds in foreign currency under the payment order of the Client presented to the Bank after 13.00, is performed on the following day. Urgent orders from the Clients are executed on the day of their submission to the Bank. 
  • Client can be set with an "extended" operating day and the prolonged procedure of information exchange for the payments.
  • If necessary, Client may take advantage of the Bank's service for the payment in the "technical overdraft" mode within the established limits.

The Bank provides advice on all types of settlements, matters of cash circulation, the current legislation of Russia and regulations of the Bank of Russia. If necessary, the Bank sends customers regulations through telecommunications channels. The Bank provides advice on issues related to account management, facilitates the establishment of business relationships with new customers, joint developing with clients of specific financial schemes to attract or placement of funds. Bank helps customers in the technical registration of contracts with the relevant units of the Bank. The Bank monitors the timely implementation of obligations under contracts concluded by the Client with the Bank.

You can get detailed information by calling: 788-98-68, extension (2010) - Andreeva Marina Vyacheslavovna, Head of the department of the Operations and cash servicing.

You can receive the information on the document srequired for the opening of accounts by calling: 788-98-68, extension (2026)- Uzyakov Yevgenij alexandrovich, Deputy Head of the Group for opening of accounts.

  Ñommercial Bank «Millenium Bank»   |   Licence CB RF ¹3423   |   Building 10, House 19, Protopopovskiy lane, Moscow, Russia, 129090.   |   Telephone: +7(495)788-98-68   |   info@kbmil.ru