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Fixed Deposit

Contract between the Bank and the client in which the latter entrusts the Bank with the deposit of its funds in domestic or foreign currency (American dollars, rands, euros and pounds) for a pre-determined time period of 30, 60, 90, 180 or 365 days, under the condition of not using it during that period, benefiting from interests as per the contractual regime chosen.

Advantages:
  • The best rates on the market;
  • More security;
  • More profitability.

Contacts

Telephone: +258 21 308 800
Mobile: +258 82 30 16 111
Or email us.

National Footprint

Foreign Exchange

Currency Buy Sell
USD 26.7599 27.2978
EUR 35.0720 35.7769
ZAR 3.5342 3.6053

07/02/2012

Other currencies

Premier

Prestige

Corporate