International Cash Management
As part of the Danske Bank Group, National Irish Bank can offer companies a comprehensive International Cash Management solution. This programme gives your business the best foundation for easy, efficient management of liquidity, foreign exchange and interest rates.

These are a few of the advantages of the solution:
  • Make cross-border payments and local payments in foreign countries
  • See transactions and other information about your accounts in other countries via the Business eBanking office banking system
  • Use a single system to manage all your payments, your liquidity and foreign currency positions
Read more about the Danske Bank Group’s Cash Management services:

Contact

How to contact us? Find your branch.

Business eBanking

Watch a quick summary video on what Business eBanking can do for your business or click here to go through to our full Business eBanking demo.

Cash Management

Visit the Danske Bank Group’s main Cash Management site.