Please provide your bankers with the following details to initiate a wire transfer.
Note that details are specific are relevant to the specific currency of transfer.
CCY
|
NAME OF THE CORRESPONDENT
|
SWIFT CODE
|
ACCOUNT NUMBER
|
AED |
STANDARD CHARTERED BANK DUBAI |
SCBLAEAD |
AE18 0440 0000 0969 0019 401 |
AUD |
AUSTRALIA AND NEW ZEALAND BANKING
GROUP LIMITED MELBOURNE
|
ANZBAU3M |
949081AUD00001 |
BHD |
STANDARD CHARTERED BANK MANAMA |
SCBLBHBM |
BH60 SCBL BHD0 9079 0680 01 |
CAD |
ROYAL BK OF CANADA, TORONTO |
ROYCCAT2 |
095912447258 STANDARD CHARTERED BK. |
CHF |
CREDIT SUSSE, ZURICH |
CRESCHZZ80A |
CH87 0483 5099 9142 4300 0 |
CNY |
STANDARD CHARTERED BANK HONGKONG (CNH CCY) |
SCBLHKHH |
44709437202 |
DKK |
NORDEA BANK,COPENHAGEN |
NDEADKKK |
5000408364 |
EUR |
STANDARD CHARTERED BANK AG |
SCBLDEFX |
DE18 5123 0500 0018 5062 03 |
GBP |
STANDARD CHARTERED BANK LONDON |
SCBLGB2L |
GB42 SCBL 6091 0451 9970 17 |
HKD |
STANDARD CHARTERED BANK HONGKONG |
SCBLHKHH |
41109499989 |
INR |
STANDARD CHARTERED BANK MUMBAI |
SCBLINBB |
231 9 123536 9 RTGS CODE : SCBL0036001 |
INR |
STANDARD CHARTERED BANK MUMBAI |
SCBLINBB |
23191235736 – RTGS CODE : SCBL0036001
For settlement of FX cancellation and early
utilisation swap charges.
|
INR |
STANDARD CHARTERED BANK MUMBAI |
SCBLINBB |
22205243106 – FOR FD CREATION FROM
SUSPENSE ACCOUNT
|
JPY |
STANDARD CHARTERED BANK TOKYO |
SCBLJPJT |
00012221110 |
KES |
STANDARD CHARTERED BANK NAIROBI |
SCBLKENX |
0108007472500 |
KWD |
NATIONAL BANK OF KUWAIT S.A.K.P.SAFAT |
NBOKKWKW |
ACC NO: 2023904077
IBAN:KW55NBOK0000000000002023904077
|
KRW |
STANDARD CHARTERED BANK KOREA LIMITED |
SCBLKRSE |
195 10 011758 |
LKR |
STANDARD CHARTERED BANK COLOMBO |
SCBLLKLX |
15162551901 |
MYR |
STANDARD CHARTERED BANK KUALA LUMPUR |
SCBLMYKX |
312970000077 |
MXN |
STANDARD CHARTERED BANK LONDON – ACCOUNT WITH |
SCBLGB2L |
GB37SCBL60910452678241 |
BANCO SANTANDER SERFIN S.A MEXICO – INTERMEDIARY |
BMSXMXMM |
2465 |
CLABE NO – 014180000000024659 |
NOK |
NORDEA BK NORGE ASA OSLO |
NDEANOKK |
6001.02.04308 |
NZD |
ASB BANK, AUCKLAND |
ASBBNZ2A |
12-3121-0060759-00 |
OMR |
STANDARD CHARTERED BANK MUSCAT |
SCBLOMRX |
09160157101OMR |
PLN |
MBANK S.A. WARSAW |
BREXPLPW |
PL04 1140 0000 0000 1011 1501 5001 |
QAR |
STANDARD CHARTERED BANK DOHA |
SCBLQAQX |
QA56SCBL000000000009276621301 |
RUB |
STANDARD CHARTERED BANK LONDON – ACCOUNT WITH |
SCBLGB2L |
GB60SCBL60910412678616 |
PJSC ROSBANK MOSCOW |
RSBNRUMMXXX |
30111810000000020158 |
BIK – 044525256 INN – 7730060164 |
CB A/C NO – 30101810000000000256 |
SAR |
NATIONAL COMMERCIAL BANK, THE (HEAD OFFICE) JEDDAH |
NCBKSAJE |
88321144000109 |
SEK |
NORDEA BANK AB (PUBL) STOCKHOLM |
NDEASESS |
SE4130000000039527709083 |
SGD |
STANDARD CHARTERED BANK SINGAPORE LIMITED |
SCBLSG22 |
5100029346 |
TRY |
YAPI VE KREDI BANKASI AS ISTANBUL |
YAPITRISFEX |
TR58 0006 7010 0000 0089 7361 79 |
THB |
STANDARD CHARTERED BANK BANGKOK |
SCBLTHBX |
00100000096 |
USD |
STANDARD CHARTERED BANK NEW YORK |
SCBLUS33 |
3582-088635-001 |
ZAR |
FIRSTRAND BANK LTD, JOHANNESBURG |
FIRNZAJJ |
9016376 |
|
|
|
Field 57 (Beneficiary bank) |
Standard Chartered Bank, India |
SCBLINBBCON |
Field 59 |
11 digit account number / customer id (for fixed deposits)
Beneficiary name
|
|
Field 70 |
Purpose of remittance |
|
Field 72 |
Details of fixed deposit (for opening a new FD) |
|
|
NRE / NRO / FCNR, tenure of FD |
|