Operations of financial markets
JSC Belagroprombank actively cooperates with counterparty banks in the field of raising and placing free cash using the following financial instruments for these purposes:
JSC Belagroprombank carries out operations to provide/attract interbank loans (deposits) based on the following principles:
- fair competition in the interbank market;
- proper performance of its obligations to counterparty banks.
Operations to provide/attract interbank loans (deposits) are carried out by JSC Belagroprombank on the basis of General agreements (contracts) concluded by the bank with counterparty banks. In the absence of General agreements (contracts) - on the basis of interbank credit (deposit) agreements.
The main currencies of operations for granting/attracting interbank loans (deposits) in JSC Belagroprombank are:
- United States dollars (USD);
- EURO (EUR);
- Russian rubles (RUB);
- Belarusian rubles (BYN).
СRates and terms for operations of granting/attracting interbank loans (deposits) are agreed with the dealers of JSC Belagroprombank using the Refinitiv FX Trading (the code in the system is AGRA) or by calling:
JSC Belagroprombank actively conducts transactions in the FOREX market within the established limits for counterparty banks. In the absence of limits on conducting active transactions, JSC Belagroprombank offers to conduct currency exchange transactions on a split-value or intra-day prepayment basis.
Operations with counterparty banks on the FOREX market are carried out by JSC Belagroprombank on the basis of General agreements (contracts). In the absence of General agreements (contracts) - on the basis of separate agreements for a specific operation.
Quotes and terms for operations on the FOREX market are agreed with the dealers of JSC Belagroprombank using the Refinitiv FX Trading (the code in the system is BAGR) or by calling: