Inward foreign remittance is one of major sources of the foreign currency reserve of the country and in order to encourage inflow of remittances through banking channel from the Non-resident Bangladeshis, Standard Bank Limited provides quality service for repatriation and collection of remittances with the help of its foreign correspondents and trained personnel. Remittance services provided by Standard Bank Limited are:-
Inward Remittance:- Process / collection of cheque/ Draft, TT, EFT in USD, GBP,
EURO, AUD and JPY
Outward Remittance:- Issuance of FDD, TT, EFT in USD, GBP,EURO, AUD and JPY
Issuance of AMEX Travellers Cheques in USD
Handling of Student file of the students going abroad for
educational purpose in USD, GBP, EURO, AUD and JPY
Foreign Currency Accounts:
Standard Bank Limited provides different account services as prescribed by the guidelines of central bank and offer competitive interest rate for those accounts.
Foreign Currency Account. (FC)
Non- Resident Foreign Currency Deposit Account (NFCD)
Resident Foreign Currency Deposit Account (RFCD)
Non Resident Non-convertible Taka Account.
[Contact persons of Foreign Remittance Services]
|
Sl. No. |
Name & Designation |
Contact |
|
1 |
Mr. Syed Anisur Rahman
Vice President & Head of International Division |
Phone : 9569718
Mobile: 01911359360 |
|
2 |
Mrs. Rebeka Sultana
Assistant Vice President |
Phone : 9515628 PABX: 117
|
|
3 |
Md. Shahidul Islam
Assistant Officer |
Mobile: 01718335933 |
|
4 |
Md. Jahid Hossain
Assistant Officer |
Mobile: 01728042574 |
|
5 |
Shafia Hazra
Assistant Officer |
Mobile: 01722085510 | |