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ГлавнаяMainServicesLegal EntitiesOpening and Maintenance of accounts
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Opening and Maintenance of accounts
  • opening Russian ruble and foreign currency accounts within a short period of time;
  • provision of consultations on procedures of carrying out the banking operations;
  • transferring monetary funds within Russia and abroad on the date of submission of payment documents;
  • carrying cash simultaneously into a bank account;
  • collecting cash flow;
  • opening and maintenance of bank and special accounts for non resident-legal entities;
  • provision of Bank-client services;
  • carrying out documentary operations;
  • fulfilling operations with foreign currencies;
  • crediting.
Services and tariffs

Maintenance of Russian ruble and foreign currency accounts is carried out free of charge or within minimum tariffs. Terms and conditions for Russian rubles and foreign currency accounts of the Bank are provided in Tariffs for Services (attached to a Bank account agreement).

Operating hours

Operational day in the JSCB “SLAVIA” is from 10:00 a.m. until 5 p.m. The payment orders, within the system of the Bank of Russia, delivered to the bank in paper format until 3 p.m. and in Bank-client system until 4 p.m., are executed on the same operational day while payment orders delivered after operating hours are executed next operating day. Payments within the JSCB “SLAVIA” delivered to the Bank before 5 p.m. are executed the same day and executed next operating day if delivered after operating hours. Day before any holiday and on Friday the operating hour is reduced for one hour. Statements are executed starting from 10 a.m. of the banking day. Cash should be ordered in bank until 5 p.m. of the day prior to the day of receiving the cash. Operation with cash is carried out within operating hours.

+7 (495) 969-24-19, +7(495) 969-24-20.