Foreign Remittance Officer
-Inward Remittance
When the bank receives the funds from an overseas bank being for payment of goods, services, and other expenses. I will inform our customer (the beneficiary) in order to exchange into Thai Baht (THB) and credit to customer account. The methods of payment are Telegraphic Transfer (T/T) and/or Demand Draft in foreign currency.
-Outward Remittance
Responsible for outward remittance which services to both corporate and individual customers for payment of goods or services or others to the beneficiary worldwide. The methods of payment are Telegraphic Transfer (T/T) and/or Demand Draft in foreign currency.
-Foreign Currency Deposit Account
Responsible for the corporate clients Foreign Currency Deposits in 7 major currencies which are United State Dollar(USD), Great Britain Pound Sterling(GBP), Japanese Yen(JPY), Australian Dollar(AUD), Swiss Franc(CHF), Euro(EUR), Singaporean Dollar(SGD).