Home
About Us
Introduction
Executives
Shareholders
Sustainable Banking
Financial Report
Anti-Corruption
Corporate Banking
Deposit
Lending
Remittance
CNY Service
Cash Management
Trade Finance
Personal Banking
Bank Card
Deposit
Lending
Remittance
CNY Service
Other
e-Banking
Personal e-Banking
Corporate e-Banking
ATM
RMB Clearing Bank
RMB Clearing Bank Service
Career
Job Vacancies
Corporate Banking
Deposit
Savings Account
Normal Savings Account
Hi-Speed Savings Account
Savings Account with Tiered-Rate
FCD Multi-Currency Account
Current Account
Normal Current Account
Super Cheque Account
FCD Savings Account with Tiered-Rate
Foreign Currency Deposit Account
Online Deposit for Corporate Customer
Fixed Deposit
Deposit Receipt
Term Applicable to All Bank Accounts
Lending
Corporate Loan
Corporate Credit Service
Financing against Offshore Deposit
Account Receivable Financing
SME Loan
SME Service
Corporate Credit Service
Oriented Property Financing for SME
Apartment Business Financing
Property for Cash
Document Lists Required
Remittance
Domestic Remittance Package
Bahtnet Service
International Remittance Package
CNY Service
CNY Deposit Account
CNY Banknote Service
Cash Management
Payroll Service
Direct Credit
Auto Sweeping
Balance Change Alert
Global Cash Management
Trade Finance
Import Letter of Credit
Trust Receipt
Export Letter of Credit
Export L/C Bill Negotiation/Discount
Packing Credit
Download Form
You Are Here:
Home
>
Corporate Banking
>
Cash Management
>
Global Cash Management
Global Cash Management
Granting permission to the parent companies of the customers or any authorized entity to manage the customers accounts, which is a subsidiary, such accounts opened with the Bank through any applicable channel available for rendering this service.