Corporate Accounts

Given the privacy that requires quality and speed in providing
banking services, we have allocated a variety of banking services for corporates
and institutions; to satisfy their ambitions.

This account is designed to manage the funds and resources of corporates and commercial companies by receiving daily and periodic cash and non-cash deposits and facilitating the execution of local and international payments for various commercial purposes.


  • Opening account is free (without any commissions)
  • Obtaining a cheque book in local or foreign currency in US dollars.
  • Free withdrawals from the account through any of the bank's branches
  • The ability to manage the account online through the internet banking service.
  • Performing international foreign transfers through the international SWIFT network to all parts of the world.
  • Receiving incoming international transfers via the international SWIFT network from all over the world.
  • Obtaining direct and indirect credit facilities.

Account Opening Requirements:

  • Fill out the account opening form.
  • A copy of the (ID card, or passport and residence for residents) for the authorized signatories.
  • A copy of the water or electricity bill, or any official document proving the place of residence.
  • License to practice the activity.
  • commercial register.
  • Ownership of the trade name.
  • A copy of the Articles of Association and the Memorandum of Association.
  • A copy (4×6) of the authorized signatories.