Current accounts

Non-stop access

to your funds

Fast operations

and effective day by day


increased in use

Your advantages

Whether you're just starting out or your business is in full swing, opt for a current account in lei or foreign currency and benefit from dedicated product and service packages, fast and efficient day-to-day operations, round-the-clock access to company funds both at home and abroad*.

  • Unlimited access to company funds, anytime, anywhere
  • You have increased flexibility in use
  • You get low fees when making transactions via remote services
  • You can deposit and withdraw cash according to your business needs**
  • Make inter and intra-bank transfers
  • You can carry out advantageous currency conversion operations
  • Your funds are guaranteed up to the ceiling set by the Deposit Guarantee Fund

*through remote banking services
**in accordance with the legislation in force.

How can you open a current account if you are a new customer?


  1. Download the bank forms and the list of related documents below, according to your company's organisational form
  2. Complete the downloaded forms electronically and prepare the required package of documents according to the list
  3. Apply the qualified advanced electronic signature (signature applied in relation to the tax authority) on each form and copy of document, and send them in electronic format to the email address: business.support@otpbank.md
  4. The bank will inform you by phone and email about the account opening process. For more details, please contact the Support Service on +373 22 812 555.

Required documents

In bank branches

Required documents


Cash operations

Customers may only deposit or withdraw cash in accordance with the law.

Tariffs and general conditions

Information on the Deposit Guarantee Fund for Legal Entities

Deposits of legal entities are guaranteed up to the coverage level of 100 000 lei.