Create a bespoke document in minutes, or upload and review your own.
Get your first 2 documents free
Your data doesn't train Genie's AI
You keep IP ownership of your information
Bank Deposit Agreement
"I need a Bank Deposit Agreement for a corporate time deposit account with multi-currency capabilities, incorporating specific provisions for electronic banking services and automated sweeping facilities for our Indonesian subsidiary."
1. Parties: Identifies the bank and the depositor, including their complete legal names, addresses, and registration details
2. Background: Brief context explaining the purpose of the agreement and the banking relationship
3. Definitions: Defines key terms used throughout the agreement
4. Account Opening and Eligibility: Requirements and procedures for opening the deposit account
5. Deposit Terms: Core terms including minimum deposit, tenure, and interest calculation method
6. Interest Rates and Fees: Details of applicable interest rates, bank charges, and fee structure
7. Account Operations: Rules for deposits, withdrawals, and general account operations
8. Electronic Banking Services: Terms for accessing and operating the account through electronic channels
9. Security and Access: Security measures, PIN/password requirements, and access protocols
10. Customer Obligations: Customer responsibilities including providing accurate information and maintaining minimum balances
11. Bank's Rights and Obligations: Bank's duties, responsibilities, and rights in managing the account
12. Deposit Insurance: Information about LPS (Indonesia Deposit Insurance Corporation) coverage
13. Anti-Money Laundering Compliance: KYC requirements and anti-money laundering provisions
14. Amendment and Termination: Conditions for changing agreement terms and closing the account
15. Governing Law and Dispute Resolution: Applicable law and methods for resolving disputes
16. Notices: How official communications between parties will be made
17. Force Majeure: Provisions for unforeseen circumstances affecting account operations
1. Joint Account Provisions: Include when the account is opened in more than one name
2. Special Rate Terms: Include for high-value deposits or special rate agreements
3. Foreign Currency Provisions: Include for foreign currency deposit accounts
4. Corporate Account Provisions: Include for business/corporate depositors
5. Minor Account Provisions: Include when the account holder is under 18 years
6. Standing Instructions: Include if automatic transfer services are offered
7. Syariah Banking Provisions: Include for Islamic banking products
8. Special Benefits and Privileges: Include for premium banking customers
1. Schedule 1 - Fee Schedule: Detailed list of all applicable fees and charges
2. Schedule 2 - Interest Rate Sheet: Current interest rates for different deposit amounts and tenures
3. Schedule 3 - Required Documents: List of documents required for account opening by customer type
4. Schedule 4 - Electronic Banking Services: Details of available electronic banking features and limits
5. Appendix A - Account Opening Form: Standard form for collecting customer information
6. Appendix B - Specimen Signature Card: For recording authorized signatures
7. Appendix C - Product Information Sheet: Specific features and benefits of the deposit product
Authors
Account Holder
Account Opening Form
ATM
Authorized Person
Available Balance
Bank
Bank Indonesia
Banking Day
Beneficial Owner
Business Day
Corporate Customer
Current Account
Customer Due Diligence
Deposit
Deposit Insurance Corporation (LPS)
Electronic Banking Services
Force Majeure
Individual Customer
Interest Period
Interest Rate
Joint Account
KYC
Maturity Date
Minimum Balance
Mobile Banking
OJK
Online Banking
Operating Hours
Password
PIN
Power of Attorney
Retail Customer
Rupiah
Sanctions
Savings Account
Schedule of Charges
Security Credentials
Specimen Signature
Statement of Account
Term Deposit
Terms and Conditions
Time Deposit
Transaction
User ID
Account Operation
Interest and Fees
Deposit Terms
Electronic Banking
Security
Customer Identification
Anti-Money Laundering
Representations and Warranties
Rights and Obligations
Deposit Insurance
Confidentiality
Data Protection
Force Majeure
Indemnification
Liability
Amendment
Termination
Governing Law
Dispute Resolution
Notices
Assignment
Severability
Entire Agreement
Authority
Compliance
Consumer Protection
Documentation
Joint Account
Power of Attorney
Set-off
Foreign Exchange
Tax
Service Interruption
Account Closure
Dormant Account
Banking
Financial Services
Insurance
Retail
Corporate Services
Legal Services
Fintech
Investment Management
Wealth Management
Commercial Banking
Islamic Banking
Business Services
Legal
Compliance
Risk Management
Operations
Customer Service
Product Development
Account Management
Treasury
Corporate Banking
Retail Banking
Documentation
Regulatory Affairs
Bank Branch Manager
Compliance Officer
Legal Counsel
Account Manager
Customer Service Manager
Risk Manager
Operations Manager
Product Manager
Relationship Manager
Treasury Manager
Corporate Banking Officer
Retail Banking Officer
Financial Services Manager
Banking Operations Supervisor
Regulatory Compliance Specialist
Legal Documentation Specialist
Find the exact document you need
Current Account Agreement
An Indonesian law-governed agreement establishing the terms and conditions between a bank and its customer for current account services.
Bookkeeping Contract
An Indonesian law-governed agreement establishing terms and conditions for professional bookkeeping services, ensuring compliance with local accounting and tax regulations.
Joint Account Contract
An Indonesian law-governed agreement between multiple account holders and a bank establishing the terms and conditions for operating a joint bank account.
Joint Holder Agreement
An Indonesian law-governed agreement establishing rights and obligations between multiple parties jointly owning or managing assets.
ACH Authorization Agreement
An Indonesian-compliant ACH Authorization Agreement for establishing automated electronic fund transfers between bank accounts, adhering to Bank Indonesia regulations.
Bank Deposit Agreement
An Indonesian law-governed agreement between a bank and depositor establishing terms for deposit account services and operations.
Master Account Agreement
An Indonesian law-governed agreement establishing the banking relationship between a financial institution and its customers, covering account operations and services.
Cash Account Management Agreement
An Indonesian law-governed agreement establishing terms for cash account management between financial institutions and clients, compliant with local banking regulations.
Time Deposit Agreement
An Indonesian law-governed agreement between a bank and depositor establishing terms for a fixed-term deposit investment.
Security Account Control Agreement
An Indonesian law-governed tripartite agreement establishing control over a security account between a debtor, lender, and bank/securities intermediary.
Account Bank Agreement
An Indonesian law-governed agreement establishing the terms and conditions for banking relationships between a bank and its customers, compliant with local banking regulations.
Blocked Account Agreement
An Indonesian law agreement governing the establishment and operation of a restricted access bank account, detailing blocking conditions and release mechanisms.
Bank Account Agreement
An Indonesian law-governed agreement establishing the terms and conditions between a bank and account holder for operating a bank account in compliance with local banking regulations.
Account Management Agreement
An Indonesian law-governed agreement establishing terms for professional account management services, compliant with OJK regulations.
Account Pledge Agreement
Indonesian law-governed agreement creating security over bank accounts through a pledge structure, establishing rights and obligations between pledgor, pledgee, and account bank.
Account Opening Agreement
An Indonesian law-governed agreement establishing terms and conditions for opening and maintaining a bank account, compliant with local banking regulations.
Certificate Of Deposit Agreement
An Indonesian law-governed agreement between a bank and depositor establishing terms for a certificate of deposit, including amount, duration, and interest terms.
Account Receivable Purchase Agreement
An Indonesian law-governed agreement for the sale and purchase of accounts receivable, compliant with local financial regulations and civil code requirements.
Download our whitepaper on the future of AI in Legal
Genie’s Security Promise
Genie is the safest place to draft. Here’s how we prioritise your privacy and security.
Your documents are private:
We do not train on your data; Genie’s AI improves independently
All data stored on Genie is private to your organisation
Your documents are protected:
Your documents are protected by ultra-secure 256-bit encryption
Our bank-grade security infrastructure undergoes regular external audits
We are ISO27001 certified, so your data is secure
Organizational security
You retain IP ownership of your documents
You have full control over your data and who gets to see it
Innovation in privacy:
Genie partnered with the Computational Privacy Department at Imperial College London
Together, we ran a £1 million research project on privacy and anonymity in legal contracts
Want to know more?
Visit our Trust Centre for more details and real-time security updates.
Read our Privacy Policy.