Commercial Banking Services

66110000: Banking services

Contract details

Detailed information about the contract

Id
001961
Title
Commercial Banking Services
Description

The scope of the RFI is the British Library General Banking Services. This includes: •Payment accounts – Used for outgoing payments, for example, creditor cheques, CHAPS, BACS, direct debits, standing order payments, balance requests, commission charges and interest payable, etc. •Receipt accounts – Used for incoming transactions, for example, bank giro credits, standing orders, CHAPS, BACS, faster payments and unpaid direct debits and cheques, other amounts paid-in and income from card transactions, etc. •Other ancillary bank accounts – Used for other outgoing payments, for example, wage accounts from which staff salaries are paid by BACS, petty cash accounts and treasury deposit accounts •Foreign currency bank accounts – Used for payments and receipts in Euro and US$. •Cash banking facilities •Electronic banking facilities - Providing the following functions: oComprehensive real time balance and transaction data. oElectronic money transmission such as CHAPS. oReconciliation data on the accounts. •Financial Protection and Remedies •Integration with IT Systems •Account and Relationship Managers •Account Information, Guidance and Assistance •Cash Management and Credit Interest Arrangements •Payment of cheques drawn in foreign currency When submitting information, all organisations should note that this is not currently a tender opportunity but is part of a market consultation exercise aiming to ensure that the procurement route selected and the options ultimately developed for any procurement are properly informed.

Buyer
British Library
Date Published
Unknown
Status
Planned
Classification
66110000: Banking services
Value
Unknown
Procurement Method
""
Procurement Method Details
Unknown
Tender Deadline
Unknown
Contract Start Date
2025-02-02
Contract End Date
2025-02-02
Suitable For Sme
false
Suitable For Vcse
false
Documents
No documents found.