The Bank offers its corporate customers the possibility to deposit funds in local and foreign currency for a predetermined term under favorable conditions and with guaranteed profitability.

The client gets the following services through such deposits:

  • All standard or tailor-made tenors;
  • For amounts above 100 000 BGN – a negotiable interest rate, reflecting the market conditions;
  • Withdrawal of accrued interest on the deposit on maturity;
  • ithdrawal of part of the principal on maturity;
  • Renewal of deposits at maturity;
  • Automatic prolongation of the period of the deposit;
  • Use of term deposits to secure the issuance of L/Cs, L/Gs or for receiving “back-to-back" financing.