Operations in the Monetary Market
JSC «Belagroprombank» performs the transactions in lending/borrowing of interbank credits (deposits) according to the following principles:
- just competition in the interbank market;
- proper fulfilment of commitments to the banks-partners.
The transactions in lending/borrowing of interbank credits (deposits) are performed by JSC «Belagroprombank» on the basis of General agreements (contracts), concluded by the bank with banks-partners. In case of absence of General agreements (contracts), – on the basis of interbank credit (deposit) contracts.
The main currency transactions in lending/borrowing of interbank credits (deposits) in JSC «Belagroprombank» are the following:
- US Dollar (USD);
- EURO (EUR);
- Russian rouble (RUB);
- Belarussian rouble (BYN).
The rates and terms of transactions in lending/borrowing of interbank credits (deposits) are co-ordinated with the dealers of JSC «Belagroprombank» by the system Refinitiv FX Trading (code in system – AGRA), or by the following telephone numbers:
+375 (17) 218 58 20;
+375 (17) 218 58 26.