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Foreign exchange and money market operation
Bank Asaka offers flexible terms for foreign exchange operations on major currencies. For dealing operations on international and local markets, Bank uses Reuters Dealing 3000 and information terminal XTRA.
1. Foreign exchange operations for counterparty banks and clients
Foreign exchange operations on international market with major currencies such as USD, EURO, GBP, JPY, CHF, RUB.
Forward and swap operations with major currencies such as USD, EURO, GBP, JPY, and CHF.
Swap operations with Uzbek Soum.
2. Money market operations for banks and corporate clients
Asaka bank actively works on interbank money market and deals with money market instruments in different currencies.
For corporate clients Bank offers flexible terms for term deposits and certificate of deposits.
For additional information please contact to Dealing Department:
Contact person:
Ulmasbaev Zokhid, Head of Dealing Department Теl. (998-71) 120-82-42 Теl. (998-71) 120-82-43 Fax. (998-71) 120-81-40
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