Do you need to provide high profitability and flexibility to invest cash surpluses of your Company?
With the DEPÓSITO TESORERÍA EMPRESAS you will obtain:
- FAST: Term deposit in a single contract.
- FLEXIBILITY: You can make successive deposits that all have different maturity dates, from 1 to 365 days.
- RETURN: interest rate adapted to deposit term (profitability in line with market rates).
OTHER ADVANTAGES
- Obtain profitability in line with the market and customised for your company day to day. Request us contribution
- Settlement at maturity, via payment into the associated account.
- If you need it, the money can be redeemed at any time before maturity. In this case, 80% of the interest earned to date shall be paid when disposing of all or part of your funds.
Product available at Centros de Empresas Bankia (Bankia Business Centres).