To page text content. Press Alt+S
Swedbank
    Swedbank About Swedbank Press Investor Relations Services CSR Career Print  Listen to page   

Accounts

Balance-sheet optimization for effective Cash Management

Account Services

The Swedbank group is a member of the local giro and clearing systems in all the Nordic and Baltic countries, providing a full range of domestic accounts with limits and overdraft facilities. All products can be connected to accounts, including domestic and international payments, cards and card acquiring, as well as online banking solutions. Foreign currency flows can be managed through currency accounts and exchanged through our online foreign exchange solutions, allowing you to efficiently minimize exposure.

Account Statements

Accurate information at the right time is the key to efficient cash management. Our online banking solutions provide comprehensive information on balances and transactions, as well as a wide range of reports. As a member of UniCash, the Swedbank group can provide account management and payment services in most European countries, allowing you to take advantage of domestic bank services outside our home markets.

Account Management via SWIFT

For companies located abroad and clients with foreign bank accounts, the Swedbank group offers account management via SWIFT services in our Online Banking Solution.

Services offered include:
  • Daily account statements for the previous day’s balances and
    transactions (SWIFT MT940)
  • Repatriation of funds (SWIFT MT101)