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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

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Direct Access to Clearing Facilities

Bank of Ireland has full access to the Irish Clearing System for processing cash, cheques, direct debits and payroll.

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Payroll Processing

Bank of Ireland provide an automated system where payroll is credited to employees as required e.g. weekly, bi-weekly, monthly.

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Contact Us

Derek Collins

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

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