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Comptes de coopératives

Administer an eligible cooperative or organisation’s money through an account aligned with its governance and authorised representatives.

Catalogue des produits

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Les informations détaillées du catalogue ci-dessous sont en anglais.

Manage an eligible cooperative or organisation’s funds separately from the personal money of its members and office holders. Review the account’s permitted receipts, operating transactions, authorised users and reporting options. Your organisation should understand how it appoints signatories and changes them when responsibilities change. Account services support financial records, but do not replace the organisation’s own accounting, governing documents or obligations to its members.

À qui elle peut convenir

Registered cooperatives and other eligible legal organisations; registration type and service scope require local approval.

Utilisations possibles

Produce-sale receipts, organisation reserves and permitted payments for services, supplies or operations.

Comment procéder

Review institutional eligibility; provide registration and authority evidence; approve signatories and limits; transact using enabled channels; reconcile to internal books.

À préparer

Registration/constitution; governing-body resolution; representative and beneficial-ownership information where required; tax/business identifiers if applicable.

Questions et réponses

Are members’ personal balances included?

Not unless an approved product and accounting arrangement explicitly provides them.

Can representatives change?

Use the institution’s verified mandate-change process; a website administrator cannot change banking authority.

Sujets liés aux institutions

Ces liens proviennent des pages des institutions et ne confirment aucune offre actuelle. Chaque institution doit confirmer ses produits, conditions et démarches.

Aucune page d’institution n’est encore associée à cette catégorie.