Business Banking

We offer a range of Business Accounts that will suit most business’s needs. You can open multiple business accounts and sub accounts if you need to manage multiple budgets. You can write cheques from these accounts, pay bills, access business Internet Banking and process payrolls.

Refer to our Interest, Fees and Charges Brochure and Account Information and Access Facility Terms and Conditions brochure for full details.


All interest is calculated daily and processed monthly to accounts on the last working day of the month.

Cheque books are available in 50, 100 or 200 leaf.

Deposit books are also available at cost.

Statements can be sent on a six-monthly basis or can be printed from your Internet Banking at any time.

Internet Banking for added convenience.

Business Name Certificate of Incorporation is required to open this account.

Accounts are to be maintained in credit at all times and no overdraft facilities are available.