Corporate Bank Account

corporate bank account

A corporate account or business account held at a bank or other financial institution by the company and used for business transactions. Banks offer a variety of solutions and account options for small, medium or large businesses.

Corporate Bank Account Opening with Starting Business

Starting Business can help you to find a suitable jurisdiction that can will enable you to fulfill your corporate banking needs. With our already established links to credible banks all over the globe, we can swiftly proceed with your offshore corporate bank account set up.

Choosing the right corporate account is crucial for your business, we can offer the assistance of our professional staff to guide you through the application process and advise on the required documentation and ensure that the account application will be successful.

List of documents required for opening a corporate bank account

A legalized set of company documents consisting of:

  • Certificate of Incorporation
  • Memorandum and Articles of Association
  • Documents to confirm the appointment of company directors and secretary (if any)
  • A document to confirm the location of the registered office
  • Share Certificate(s)
  • Certificate of Good Standing (if the company is over 12 months old)

The company directors, secretary (if any), shareholders/beneficial owners and account signatories should provide:

  • Certified/Notarized copy of the passport;
  • Confirmation of residential address through the original of a utility or fixed telephone bill, a bank account or credit card statement, dated within the last 3 months;
  • Original bank reference letter. You can get in contact with your bank and request for them to send it to us directly or send it onto us yourself. For a sample of a good Bank Reference Letter, please Click Here

Starting Business can offer full support with the opening of your offshore corporate bank account. Contact Us to learn more.