Deposits

Corporate clients PJSC “BANK VERNUM” offers flexible options to generate additional income from funds held in accounts at the Bank.

Deposit program of PJSC “BANK VERNUM” for legal entities of natural persons-entrepreneurs provides liquidity management, taking into account features of conducting business.

The mechanisms to generate additional income in PJSC “BANK VERNUM” are:

  • Account «Overnight» – the daily management of your funds;
  • Demand deposits «Activity» -to manage funds freed temporarily;
  • Deposit Line «dynamic», Deposit «Σ-classicism» – for management of funds in the long term.

Advantages of deposit services of PJSC “VERNUM BANK”:

  • rapid decision-making and execution of deposit agreements;
  • availability of programs to partially replenish and withdraw funds from a deposit account in the deposit agreement period;
  • loyal to the conditions of early termination of the deposit agreement;
  • the reliability of placing funds on deposit account is confirmed by the national rating agency of Rurik, which have assigned long-term credit rating of the Bank at uaBBB with the forecast “stable” and the highest reliability rating of deposits at the level of r4.

Money should work for you on a daily basis and PJSC “VERNUM BANK” ready to help you with this!

More detailed information can be obtained at the bank branch .
Information Center: (044) 559 23 18



Рахунок «Overnight»
Вклад на вимогу «Σ - Активність»
Депозитна лінія «Динамічна»
Банківский вклад «Σ-КЛАСИЧНІСТЬ»
xlsxi Зведені умови депозитних вкладів ПАТ «ВЕРНУМ БАНК» для юр. осіб та ФОП