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How does a new company open a bank account?

Materials required:

Original and copy of business license

articles of incorporation

Original and photocopy of the legal representative's ID card

Copy of partner or shareholder's ID card

Original and photocopy of the agent's ID card.

Chapter V (Official Seal, Financial Seal, Company Seal, Special Seal for Contract and Special Seal for Invoice)

Other materials required by the local bank.

step

1. Make an appointment with the bank account manager in advance or bring relevant materials directly.

2. Under the guidance of the account manager, sign relevant documents and seal them.

3. The bank will submit relevant information to the central bank, which usually takes 5 working days, and the central bank will issue an account opening permit.

4. Wait for the account manager to inform for evidence collection, receipt card, U shield, etc.

5. Carry out the remaining operations such as account deposit under the guidance of the account manager.

Note: Generally speaking, in the process of opening an account and obtaining evidence, the legal representative should be present in person at least once.