OJSC AGBank provides settlement-cash services in Azerbaijan manats and foreign currency to physical persons - both residents and non-residents of the Azerbaijan Republic; Bank provides full complex of bank services available at the Azerbaijan financial market. AGBank grants discounts for its permanent customers that actively operate with their accounts. Services to the customers are provided in accordance with existing rates, based on the agreements on settlement-cash services.
The Bank has correspondent relations with more than 20 major foreign banks, which allows making payments promptly and reliably.
Physical persons can:
Open operating (settlement) and current accounts;
Consultations on procedures of bank operations;
Transfer money across the Azerbaijan and abroad;
Receive transferred money on bank account;
Accomplish operations of currency conversion;
Authorize the Bank to carry out automatic conversion of funds;
Authorize the Bank to maintain specified account balance;
Pay cash money to the account, receive cash money from the account;
Put an order for delivery of cash money;
Foreign currency in cash is issued to the customers of the Bank in accordance with the existing legislation of the Azerbaijan Republic. AGBank assists in coordination of financial activity, using potential of the customer. To open settlement (operating) account in mantas and current account in foreign currency, physical persons must submit the following documents: Application for opening of the account; ID Additional services provided by the Bank: Consultations regarding preparation of documents for money transfer; At the customer' request, confirmation of the beneficiary about crediting (financing) of account; Settlement services provided to the customer include the following: Money transfer from the customer's account, at his request, to the bank of beneficiary; Issue of bank statement to the customer of his nominee regarding all transactions on his account. This information is issued to the customer in paper form; Consultations provided to the customer on legislation regarding settlements, rules of document control pertaining to the settlement operations. Package of additional services: Fulfillment of request to search for money transferred in favour of the customer; Provision of the history of account for requested period. The Bank offers end-to-end servicing including: Issue of cash money and foreign currency from cash department of the Bank within the business day; Acceptance of cash money and foreign currency by cash department of the Bank with simultaneous paying into your account, acceptance of foreign currency for encashment (collection); Exchange of foreign banknotes.