Optima Bank
ATMS and Bank offices(312) 90 59 59
Skype: OptimaBank
 

Term deposit "Corporate Profits"

Term deposit with a fixed amount of money placed on deposit account for a certain period with a monthly calculation and payment of interest for the entire term of the deposit.
  • Dates of deposit: 3, 13, 18 and 24 months;
  • Minimum amount of deposit: without restrictions;
  • Maximum amount of deposit: to be clarified in the branch office where the deposit is opened;
  • Acceptance of additional deposits is not envisaged;
  • Prolongation is envisaged by the client's statement; Deposit is prolonged for the same period with calculation of the fee at the rate applicable on the day of deposit term prolongation;
  • Payment of the remuneration is produced monthly and/or upon expiry of the period of the deposit by transfer to the account of demand;
  • In case of early termination fee is charged on the deposit rate on demand

Interest rates (annual effective rate is indicated in parentheses):

Deposit Term

in KGS

in USD

3 months

3% (3,0)

-

6 months

-

-

9 months

-

-

13 months

5% (5,1)

-

18 months

6% (6,2)

2,0% (2,0)

24 months

7% (7,2)

2,5% (2,5)

Internet-banking

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Optima24 New Internet Banking Service for Cardholders

Currency rates

Cash Rates

02/27/2020 Buy Sell
USD 69.8000 69.9000
EUR 76.1500 76.7500
RUB 1.0620 1.0720
KZT 0.1800 0.1880
All rates

Cashless Rates

27.02.2020 Buy Sell
USD 69.7500 69.9000
EUR 75.9500 76.9500
RUB 1.0550 1.0800
KZT 0.1780 0.1900
All rates

Payment Cards Rates 

27.02.2020 Buy Sell
USD 69.8000 69.9000
EUR 75.3500 76.8500
RUB 1.0480 1.0830
KZT 0.1770 0.1920
All rates

NBKR Rates

27.02.2020 Rate
USD 69.8500
EUR 76.0806
RUB 1.0661
KZT 0.1846
All rates
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