Corporate  Banking
Corporate Deposit
Loan Financing
Financing Lease
Bill Business
Settlement Service
  Corporate Settlement Account
     -  Corporate Settlement Account
     -  Primary Deposit Account
     -  General Deposit Account
     -  Special Deposit Account
     -  Temporary Deposit Account
     -  Inter-city Settlement Account
  Domestic Settlement
  Agency Services
  Cash Management
  Global Cash Management
  Cross-Border RMB Settlement
  Cash Management Card
  Account Manager
  Internet Banking for Cash Management
Corporate Wealth Management
Corporate E-banking
Investment Banking
Assets Custody Business
Institutional Banking
Corporate Annuity Service
Small Business Finance
More Services
Financial market
Internet Finance
  Home Page > Corporate Banking >Settlement Service >Corporate Settlement Account >Inter-city Settlement Account
Inter-city Settlement Account

I. Target Client
The depositors may open an inter-city settlement account under the following circumstances:
1. Needing to open a primary deposit account when the place of business license registration and the place of operation are not in the same administrative area.

2. Needing to open a general deposit account for handling inter-city loans and other settlement business.

3. The depositor needs to open a special deposit account for the revenue accumulation or business expense incurred by its affiliated non-independent accounting unit or agencies.

4. Needing to open a temporary deposit account for inter-city temporary operating activities.

II. Application Condition
Please consult to the local business offices of ICBC in the account opening area.