
Operations with banks
In our everyday operations it is our goal to establish quality business relationships with all financial institutions in Croatia and around the world. We maintain correspondent relations with more than 400 banks in the world and, thanks to the support of an extensive network of Raiffeisen banks in Central and Eastern Europe, we strive to provide the best service to our customers and support them in all aspects of their business.
Account opening
Possibility of account opening in local currency
Account transactions
You can use your account to carry out commercial, interbank payments or to settle transactions with our Treasury in the currency of your account
Additional benefits
Tailor made Terms and Conditions
Account opening
Documents required:
- filled out KYC form,
- Extract from the court register,
- banking licence,
- list of authorised signatories,
- list of main correspondents,
- latest audited annual report,
- Articles of association,
- FATCA form,
- ID No (OIB) / Power of Attorney to the bank to obtain OIB.
Date | Holiday |
---|---|
January 1 | New Year´s Day |
January 6 | Epiphany |
April 20 | Easter |
April 21 | Easter Monday |
May 1 | Labour Day |
May 30 | Statehood Day |
June 19 | Chorpus Christi |
June 22 | Anti-Fascist Resistance Day |
August 5 | Victory and Homeland Thanksgiving Day |
August 15 | Assumption Day |
November 1 | All Saints' Day |
November 18 | Rememberance Day |
December 25 | Christmas Day |
December 26 | Saint Stephen's Day |