Exchange rates for 27 march27.03.20172

Central Office

Minsk, Kommunisticheskaya, 49, prem. 1

Currency Quantity Purchase Sale
USD 1 1.8700▲0.0030 1.8760
eur 1 2.0300 2.0420
RuB 100 3.2800▲0.0040 3.3000
UAH 100 4.5000 7.1000
PLN 10 4.0000 4.7700
Currency Quantity Purchase Sale
USD 1 1.8700▲0.0030 1.8760
eur 1 2.0300 2.0420

courses for card transactions in the Bank's devices

Currency Cross-rate
USD/EUR 1.0961
EUR/USD 1.0766
USD/RUB 56.3436▲0.0347
RUB/USD 57.2508▲0.0327
EUR/RUB 61.2094▲0.0377
RUB/EUR 62.1968▲0.0387
All rates
NB RB Rates
Currency NB RB CB RF
USD 1.8808▼0.0034 57.42
EUR 2.0268▼0.0058 61.86
100 rub 3.2773▲0.0077 -

Cash and Settlements Services

The Bank is offering a wide range of cash-and-settlement related services in Byelorussian rubles and in foreign currencies, including:

  • opening of an account
  • performing payments and settlements
  • handling (collection and allotting) of cash Byelorussian rubles and foreign currencies and many other services.

WE OFFER TO YOU convenient and profitable business conditions:

  • Accurate and proper execution of your payment instructions and orders;
  • Guaranteed execution of payments on the due day;
  • Operating day without lunch break;
  • Extended time schedule for reception of documents;
  • Possibility for remote monitoring and management of the account via the «Client-Bank system».

Cost effective fees for operations and the wide range of free of charge services (free of charge):

  • Reception and recalculation of money resources in the belarusion rubles
  • Execution of high value payments via BISS system
  • Execution of payments via Clearing System
  • Making payments out of the intraday incoming receipts (opposing payments)
  • Revoking of the payments documents on request of a Customer
  • Opening, maintaining and changing identification of all kinds of accounts
  • Submitting of account statements after the execution of the operations
  • Transfers in russian rubles
  • Registration (re-registration) of the transaction
  • Booking of the receipts in foreign currencies to the Customers' account
  • Booking funds from the interim account «amounts to be validated» to the accounts of business entities
  • Linking to the system Bank-Customer
  • Handling and processing of documents
  • Keeping a record of items for the off-balance account
  • «Payment documents unpaid on the due day»
  • Consulting services for all types of operations

You are welcome to call and receive operative consultations and assistance, you might need, for any questions and comments. Please, use the next telephone numbers:

  • Opening and keeping of accounts:  (+375 17) 239-16-12, 239-17-11, 239-17-13
  • For the entire range of services: (+375 17) 239-17-81, 239-17-82, 239-17-83
Print