Cash Operations

Cash operations are being made in all TBI BANK agencies


Cash Deposits

Deposits related to debits owed to the bank and to companies from TBIF group present in Romania (credit rates, leasing rates, amounts owed from the insurance policy, amounts owed related to cards issued, etc.)

Cash deposits for the purpose of creating term deposits or other saving products

Cash deposits for the purpose of making transfers to other clients and TBI Bank, to clients of other credit institutions or to the State Treasury


Cash exchange in current account

  • Buying currency (EUR/USD) in exchange to funds in national currency (RON)
  • Selling currency (EUR/USD) in exchange to funds in national currency (RON)

Cash Withdrawal

Withdrawal from TBI Bank client’s available funds

Cash withdrawals related to funds from consumers credit granted by TBI Bank or TBI Credit IFN SA

Contact

Customer Service
021 529 86 00 

Working hours
Monday - Friday
| 09:00 - 18:00

Saturday - Sunday
| Closed

Network

Head office

Bucharest, Romania,
8-12, Putul lui Zamfir Str.