Branch # 20
MD 2004; 171/1, Stefan cel Mare si Sfint boulevard
/+373 22/ 301 227, 301 188, 301 253, 301 224
email: filiala20@eximbank.com
SWIFT code of the bank: EXMMMD22
Authorized persons:
Director of Branch# 20 -Lia Istratii/+373 22/ 301 188
Signature of the authorized person
Vice director of Branch # 20- Andrei Badan
(373-22) 30-11-88
Signature of the authorized person
Working Programe:
Operations - Legal entities:
Monday- Friday:
- Current account and deposit services: 9:00-16:00 ( break: 13:00-14:00)
- Cash–Point operations: 9:00-16:00 (break: 13:00-14:00)
- Loan Services: 9:00-16:00 (break: 13:00-14:00)
- Banking Cards Operations: 9:00-16:00 (break: 13:00-14:00)
Saturday - Sunday: Days Off
Operations - Individuals:
Monday - Friday:
- Currency Exchange: 9:00-17:00 (break: 13:00-14:00)
- Money Transfers: 9:00-16:00 (break: 13:00-14:00)
- Current account and deposit services: 9:00-16:00(break: 13:00-14:00)
- Loan Services: 9:00-16:00 (break: 13:00-14:00)
- Bank Cards Operations: 9:00-16:00(break: 13:00-14:00)
Saturday - Sunday: Days Off
Bank Operations:
- deposits (demand and time deposits) interest bearing and non interest bearing, in lei or foreign currency;
- loans (consumption and mortgage, factoring with or without the right of regress), financing of commercial transactions, issues of guarantees and bonds in base of decisions of the competent bodies of the Bank etc.) in MDL or foreign currency;
- providing services of settlement and collection; in lei or foreign currency, individuals and legal persons;
- emission and administration of payment instruments (credit cards or debit cards, traveler checks, bills of exchange etc.);
- purchase and sale of currency (including exchange of foreign
currency);
- providing services related to credit in MDL or foreign currency;
- any other financial activity allowed by the National Bank of Moldova and the parent bank, as specified in the bank license.
For additional information info@eximbank.com. |