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Service | START | STANDARD | PRIME | VIP |
Inter-bank transfers | 0,4% + 1.5x ABM costs | 0,3% + 1.5x ABM costs | 0,2% + 1.5x ABM costs | 0,1% + 1.5x ABM costs |
Intra-bank transfers | 0,2% (remote payment: 0,1%) | 0,2% (remote payment: 0,1%) | 0,1% (remote payment: 0,5%) | 0,1% (remote payment: 0,5%) |
Transfers to Corporate Cards | - | - | 0.2% of the amount | 0.2% of the amount |
Subscription Fee for Internet Banking, Mobile Banking, and SMS Banking | Free | |||
Corporate Card Issuance | 5% of BCU | |||
For Contracts Less Than 3 Months | 100,000 UZS/month (VAT included) | 200,000 UZS/month (VAT included) | 300,000 UZS/month (VAT included) | 400,000 UZS/month (VAT included) |
For Contracts of 3 Months or More | 75,000 UZS/month (VAT included) | 150,000 UZS/month (VAT included) | 225,000 UZS/month (VAT included) | 300,000 UZS/month (VAT included) |
Prepayment Period (3 months) | 200,000 UZS (VAT included) | 425,000 UZS (VAT included) | 650,000 UZS (VAT included) | 850,000 UZS (VAT included) |
Prepayment Period (6 months) | 375,000 UZS (VAT included) | 800,000 UZS (VAT included) | 1,200,000 UZS (VAT included) | 1,600,000 UZS (VAT included) |
Prepayment Period (9 months) | 550,000 UZS (VAT included) | 1,100,000 UZS (VAT included) | 1,700,000 UZS (VAT included) | 2,200,000 UZS (VAT included) |
Prepayment Period (12 months) | 700,000 UZS (VAT included) | 1,400,000 UZS (VAT included) | 2,100,000 UZS (VAT included) | 2,800,000 UZS (VAT included) |
Monthly Subscription Fee is charged from the date of contract signing.
The billing period is calculated from the contract signing date to the same date in the following month.
For contracts of 3, 6, 9, or 12 months with prepayment, the subscription fee is deducted within the first 5 calendar days from the contract signing date.
Upon contract expiration, banking services will be charged according to the Bank’s standard tariffs.
Changing the tariff plan is free of charge.
Any banking services not specified in this document will be charged according to the Bank’s general tariffs.
📌 All terms are subject to the Bank's applicable policies and conditions.
Documents Required for Opening a Settlement Account
To open a settlement account, the following documents must be provided in compliance with the Bank’s regulatory requirements:
Copy of the Certificate of State Registration of the legal entity.
Signature and Seal Specimen Cards duly certified in accordance with the established procedures.
For Residents:
Copies of the founding documents of legal entities engaged in entrepreneurial activities (charter, incorporation agreement).
Copies of all registered amendments and supplements to the founding documents.
For Enterprises with Foreign Investment and Other Foreign-Owned Companies:
Notarized copies of the founding documents.
Copies of all registered amendments and supplements to the founding documents.
Copy of an Identity Document (passport or an equivalent legally recognized document) of the person authorized to sign settlement documents on behalf of the client.
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