Operating Accounts
Day to Day Operating Accounts
Bank of Ireland provides a full suite of operating accounts including:
- Checking/Current accounts
- Deposit accounts
- Disbursements accounts
- Interest bearing accounts
- Treasury accounts
- Multiple currency accounts - Euro, Sterling, US Dollar, Yen, etc
Direct Access to Clearing Facilities
Bank of Ireland has full access to the Irish Clearing System for processing cash, cheques, direct debits and payroll.
Payroll Processing
Bank of Ireland provide an automated system where payroll is credited to employees as required e.g. weekly, bi-weekly, monthly.
Contact Us
.jpg)
Derek Collins
Director New Business
Bank of Ireland Corporate Banking
Lower Baggot Street, Dublin 2
Tel: + 353 1 604 4130
Fax: + 353 1 604 4012
Email: derek.collins@boimail.com
Letitia Kelly
Manager, New Business
Bank of Ireland Corporate Banking
Lower Baggot Street
Dublin 2
Tel: +353 1 604 4004
Fax: 353 1 604 4464
Email: letitia.kelly@boi.com
Bryan Byrne
Bank of Ireland Corporate Banking
Lower Baggot Street
Dublin 2
Tel: +353 1 604 4606
Fax: 353 1 604 4464
Email: bryan_a.byrne@boi.com
